Нови статии по проблеми на ФИНАНСОВАТА КРИЗА (2012 г)
(налични статии онлайн, които ще излязат в съответните списания)
1. Equity market integration in the Asia Pacific region: Evidence from discount factors
Research in International Business and Finance, Volume 26, Issue 2, May 2012, Pages 137-163
Edda Claus, Brian M. Lucey
2. Bank-based and market-based financial systems: Time-series evidence
Pacific-Basin Finance Journal, Volume 20, Issue 2, April 2012, Pages 173-197
Bong-Soo Lee
3. Size and performance of Chinese mutual funds: The role of economy of scale and liquidity
Pacific-Basin Finance Journal, Volume 20, Issue 2, April 2012, Pages 228-246
Ke Tang, Wenjun Wang, Rong Xu
4. Volatility spillovers between the Chinese and world equity markets
Pacific-Basin Finance Journal, Volume 20, Issue 2, April 2012, Pages 247-270
Xiangyi Zhou, Weijin Zhang, Jie Zhang
5. Testing financial contagion on heteroskedastic asset returns in time-varying conditional correlation
Pacific-Basin Finance Journal, Volume 20, Issue 2, April 2012, Pages 271-291
Kwang-il Choe, Pilsun Choi, Kiseok Nam, Farshid Vahid
6. Students’ understanding of socio-economic phenomena: Conceptions about the free provision of goods and services
Journal of Economic Psychology, Volume 33, Issue 1, February 2012, Pages 79-89
Peter Davies, Cecilia Lundholm
7. The ant and the grasshopper revisited: The present psychological benefits of saving and future oriented financial behaviors
Journal of Economic Psychology, Volume 33, Issue 1, February 2012, Pages 155-165
Soyeon Shim, Joyce Serido, Chuanyi Tang
8. Costly transparency
Journal of Public Economics, Volume 96, Issues 1-2, February 2012, Pages 142-150
Justin Fox, Richard Van Weelden
9. Epidemic dynamics behavior in some bus transport networks
Physica A: Statistical Mechanics and its Applications, Volume 391, Issue 3, 1 February 2012, Pages 917-924
Xu-Hua Yang, Bo Wang, Sheng-Yong Chen, Wan-Liang Wang
10. The dynamics of a complex system: The exchange rate crisis in Southeast Asia
Economics Letters, Volume 114, Issue 1, January 2012, Pages 98-101
Fotios M. Siokis
11. Estimating the financial crisis’ impact on potential output
Economics Letters, Volume 114, Issue 1, January 2012, Pages 113-119
Luca Benati
12. Stochastic optimization for transshipment problems with positive replenishment lead times
International Journal of Production Economics, Volume 135, Issue 1, January 2012, Pages 61-72
Yeming (Yale) Gong, Enver Yьcesan
13. Dynamics of underwriting profits: Evidence from the U.S. insurance market
International Review of Economics & Finance, Volume 21, Issue 1, January 2012, Pages 1-15
Shi-jie Jiang, Chien-Chung Nieh
14. External vulnerability, balance sheet effects, and the institutional framework — Lessons from the Asian crisis
International Review of Economics & Finance, Volume 21, Issue 1, January 2012, Pages 16-28
Christian Mulder, Roberto Perrelli, Manuel Duarte Rocha
15. Renminbi in the future international monetary system
International Review of Economics & Finance, Volume 21, Issue 1, January 2012, Pages 106-114
Kuo-chun Yeh
16. Time-changed GARCH versus the GARJI model for prediction of extreme news events: An empirical study
International Review of Economics & Finance, Volume 21, Issue 1, January 2012, Pages 115-129
Lie-Jane Kao, Po-Cheng Wu, Cheng-Few Lee
17. Are exchange rate movements predictable in Asia-Pacific markets? Evidence of random walk and martingale difference processes
International Review of Economics & Finance, Volume 21, Issue 1, January 2012, Pages 221-231
Osamah M. Al-Khazali, Chong Soo Pyun, Daewon Kim
18. The Thursday effect of the forward premium puzzle
International Review of Economics & Finance, Volume 21, Issue 1, January 2012, Pages 302-318
Liang Ding
19. The Great Recession: US dynamics and spillovers to the world economy
Journal of Banking & Finance, Volume 36, Issue 1, January 2012, Pages 1-13
Fabio C. Bagliano, Claudio Morana
20. Understanding the rise and decline of the Japanese main bank system: The changing effects of bank rent extraction
Journal of Banking & Finance, Volume 36, Issue 1, January 2012, Pages 36-50
Xueping Wu, Jun Yao
21. Credit rating dynamics in the presence of unknown structural breaks
Journal of Banking & Finance, Volume 36, Issue 1, January 2012, Pages 78-89
Haipeng Xing, Ning Sun, Ying Chen
22. Financial crises in efficient markets: How fundamentalists fuel volatility
Journal of Banking & Finance, Volume 36, Issue 1, January 2012, Pages 105-111
Ariane Szafarz
23. IMF programs, financial and real sector performance, and the Asian crisis
Journal of Banking & Finance, Volume 36, Issue 1, January 2012, Pages 164-182
Ali M. Kutan, Gulnur Muradoglu, Brasukra G. Sudjana
24. Interest rate co-movements, global factors and the long end of the term spread
Journal of Banking & Finance, Volume 36, Issue 1, January 2012, Pages 183-192
Joseph P. Byrne, Giorgio Fazio, Norbert Fiess
25. Distress risk premia in expected stock and bond returns
Journal of Banking & Finance, Volume 36, Issue 1, January 2012, Pages 225-238
Andrew Jianzhong Zhang