sbp library current contents volume no 3, issue 8

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LIBRARY, STATE BANK Of PAKISTAN LEARNING RESOURCE CENTRE I.I.CHUNDRIGAR ROAD KARACHI CONTACT # 021-32453100/32453069 Current Contents Bulletin SBP Library VOLUME NO 3, ISSUE 8 AUGUST, 2013

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L IBRARY, STATE BANK Of PAKISTAN

LEARNING RESOURCE CENTRE

I . I . CHUNDRIGAR ROAD KARACHI

CONT ACT # 021 -32453100/32453069

Current Contents

Bulletin

S B P L i b r a r y

VOLUME NO 3, ISSUE 8

AUGUST, 2013

2

Title of Journals

1 American Economic Journal: Macroeconomics Available Online 03

2 American Economic Review Available Online 04

3 Cambridge Journal of Economics Available Online 05

4 Corporate Governance Available Online 06

5 Central Banking Print Only 07

6 Development and Learning in Organizations Available Online 08

7 Economic Modelling Available Online 09

8 Economics Letters Available Online 10

9 European Economic Review Available Online 11

10 European Journal of Innovation Management Available Online 12

11 Information Economics & Policy Available Online 13

12 IMF Economic Review Print Only 14

13 International Journal of Disclosure and Governance Print Only 15

14 International Review of Financial Analysis Available Online 16

15 JASA journal of American Statistical Association Available Online 17

16 Journal of Banking & Finance Available Online 18

17 Journal of Corporate Finance Available Online 19

18 Journal of Economic Studies Available Online 20

19 Journal of Economic Psychology Available Online 21

20 Journal of Financial Reporting and Accounting Available Online 22

21 Journal of Forecasting Available Online 23

22 Journal of International Accounting, Auditing & Taxation Available Online 24

23 Journal of International Money and Finance Available Online 25

24 Managerial Finance Available Online 26

25 Oxford Economic Papers Available Online 27

3

Current Contents Bulletin August, 2013

Credit Risk and Disaster Risk

François Gourio (pp.1-34)

Crises and Recoveries in an Empirical Model of Consumption Disasters

Emi Nakamura, Jón Steinsson, Robert Barro and José Ursúa (pp. 35-74)

The Financial Crisis: Lessons for International Macroeconomics

Matthieu Bussière, Jean Imbs, Robert Kollmann and Romain Rancière (pp. 75-84)

Sovereign Defaults: The Price of Haircuts

Juan J. Cruces and Christoph Trebesch (pp. 85-117)

Estimating Trade Elasticities: Demand Composition and the Trade Collapse of 2008-2009

Matthieu Bussière, Giovanni Callegari, Fabio Ghironi (pp. 118-51)

International Contagion through Leveraged Financial Institutions

Eric van Wincoop (pp. 152-89)

Sharing the Burden: Monetary and Fiscal Responses to a World Liquidity Trap

David Cook and Michael B. Devereux (pp. 190-228)

Capital Controls with International Reserve Accumulation: Can This Be Optimal?

Philippe Bacchetta, Kenza Benhima and Yannick Kalantzis (pp. 229-62) Back to Top B

American Economic Journal: Macroeconomics Volume 5 Issue No 03 (2013)

4

Current Contents Bulletin August, 2013

Intergenerational Occupational Mobility in Great Britain and the United States since 1850 Jason Long and Joseph Ferrie (pp. 1109-37)

Why Don't the Poor Save More? Evidence from Health Savings Experiments Pascaline Dupas and Jonathan Robinson (pp. 1138-71)

Unconventional Fiscal Policy at the Zero Bound Isabel Correia, Emmanuel Farhi, Juan Pablo Nicolini and Pedro Teles (pp. 1172-1211)

The Dynamic Effects of Personal and Corporate Income Tax Changes in the United States Karel Mertens and Morten O. Ravn (pp. 1212-47)

A Theory of Strategic Voting in Runoff Elections Laurent Bouton (pp. 1248-88)

Going to a Better School: Effects and Behavioral Responses Cristian Pop-Eleches and Miguel Urquiola (pp. 1289-1324)

The Lure of Authority: Motivation and Incentive Effects of Power Ernst Fehr, Holger Herz and Tom Wilkening (pp. 1325-59)

Preferences and Incentives of Appointed and Elected Public Officials: Evidence from State Trial Court Judges Claire S. H. Lim (pp. 1360-97)

Just Luck: An Experimental Study of Risk-Taking and Fairness Alexander W. Cappelen, James Konow (pp. 1398-1413)

The Gravity of Knowledge Wolfgang Keller and Stephen Ross Yeaple (pp. 1414-44)

Nonconvexities, Retirement, and the Elasticity of Labor Supply Richard Rogerson and Johanna Wallenius (pp. 1445-62)

Lemons Markets and the Transmission of Aggregate Shocks Pablo Kurlat (pp. 1463-89) Back to Top B

American Economic Review Volume 103 Issue No 04 (2013)

5

Current Contents Bulletin August, 2013

The UK Research Assessment Exercise and the narrowing of UK economics Frederic S. Lee, Xuan Pham, and Gyun Gu (pp.693-717)

On the identity of social capital and the social capital of identity Asimina Christoforou (pp.719-736)

Forward-looking contrast explanation, illustrated using the Great Moderation Jamie Morgan (pp.737-758)

Two conceptions of economics and maximisation Ricardo F. Crespo (pp.759-774)

A. C. Pigou’s rejection of Pareto’s law Michael McLure (pp.775-789)

Why has China succeeded? And why it will continue to do so Jesus Felipe, Utsav Kumar, (pp.791-818)

Economic transition and the motherhood wage penalty in urban China: investigation using panel data Nan Jia andXiao-Yuan Dong (pp.819-843)

Labour market effects of parental leave in Europe Yusuf Emre Akgunduz and Janneke Plantenga (pp.845-862)

Law, finance and innovation: the dark side of shareholder protection Filippo Belloc (pp.863-888)

A global model of recovery and rebalancing Rudiger von Arnim, Steve Bannister, and Nathan Perry (pp.889-920)

Wage stagnation, rising inequality and the financial crisis of 2008 Jon D. Wisman (pp.921-945) Back to Top B

Cambridge Journal of Economics Volume 37 Issue No 04 (2013)

6

Current Contents Bulletin August, 2013

Audit committee experts and earnings quality Sherliza Puat Nelson, Susela Devi (pp. 335 - 351)

Ownership structure and board structure: are corporate governance mechanisms interrelated? Fivos V. Bekiris (pp. 352 - 364)

17095324CEO emotional intelligence and board of directors' efficiency Mohamed Ali Azouzi, Anis Jarboui (pp. 365 - 383)

Do investors benefit from good corporate governance? Todd Shank, Ronald Paul Hill, John Stang (pp. 384 - 396)

Approaching corporate volunteering in Spain M. Isabel Sanchez-Hernandez, Dolores Gallardo-Vázquez (pp. 397 - 411)

Relations with stakeholders in Turkey: the sample of ISE-50 Index Cem Cüneyt Arslantas, Mine Afacan Findikli (pp. 412 - 430)

Governance and enterprise restructuring in Southeast Europe: gross domestic product and foreign direct invest-ments Mico Apostolov (pp. 431 - 438)

The governance-performance relations in publicly listed family controlled firms: an empirical analysis Ana Paula Matias Gama, Cecília Rodrigues (pp. 439 - 456) Back to Top B

Corporate Governance Volume 13 Issue No 04 (2013)

7

Current Contents Bulletin August, 2013

German lessons for Europe Andreas Dombret (pp.31-36)

Sleepwalking towards destruction? Robert Pringle (pp.37-43)

ECB conflicted by Cyprus bail-In Klaus Engelen (pp.45-54)

A voice in the Wilderness Tom Bowker (pp.55-60)

The PBoC, the liquidity squeeze and market liberalization Hui Feng (pp.61-66)

A status report on Dodd-Frank Vembar Ranganathan (pp.67-75)

HKMA primed for mobile payments surge Esmond Lee (pp.77-83)

Discord at the Core Tsuyoshi Oyama (pp.89-94) Back to Top B

Central Banking Volume XXIV Issue No 01 (2013)

8

Current Contents Bulletin August, 2013

Changing demographics: are companies meeting the development needs of an ageing workforce? Kevin Young (pp. 4 - 5)

New breed of European executives is not a luxury, but a matter of survival Jim Tapper (pp. 6 - 8)

Trust and reputation in new ventures: insights from an Indian venture capital firm Swati Panda, Shridhar Dash (pp. 9 - 11)

Considering mobile learning? A case study from Jaguar Land Rover André Wigley (pp. 12 - 14)

Applied theatre in corporate training Sheng-Tao Fan (pp. 15 - 18)

Flexible work – but is it fair?: Tipping the scales in work-life balance (pp. 19 - 21)

Happiness and productivity in the workplace: The role of transformational leadership (pp. 22 - 24)

Rotten apples in the top jobs: Bosses come in several shades of “bad” (pp. 25 - 27)

Practice makes perfect: how mindfulness can change coaching for the better: An interview with Liz Hall, author of Mindful Coaching Interview by Gareth Bell (pp. 28 - 30) Back to Top B

Development and Learning in Organizations Volume 27 Issue No 04 (2013)

9

Current Contents Bulletin August, 2013

Forecasting the yield curve and the role of macroeconomic information in Turkey Huseyin Kaya (pp. 1-7)

On decomposing inequality and poverty changes over time: A multi-dimensional decomposition Mauro Mussini (pp. 8-18)

A DSGE-VAR model for forecasting key South African macroeconomic variables Rangan Gupta, Rudi Steinbach (pp. 19-33)

The influence of foreign portfolio investment on informational efficiency: Empirical evidence from Central and Eastern European stock markets Alexandru Todea, Anita Pleşoianu (pp. 34-41)

An inference about the length of the time-to-build period Yong-Gook Jung (pp. 42-54)

Stock market comovements in Central Europe: Evidence from the asymmetric DCC model Dritan Gjika, Roman Horváth (pp. 55-64)

Terrorism and tourism: A conjunction and ramification in Pakistan Syed Ali Raza, Syed Tehseen Jawaid (pp. 65-70)

Reverse shooting of exchange rates (pp. 71-76) Peijie Wang

Prudent consumers: New evidence from the Consumer Expenditure Survey Seewon Kim (pp. 77-85)

Private information and its origins in an electronic foreign exchange market Ramazan Gençay, Nikola Gradojevic (pp. 86-93)

Supply and demand biases in linear interindustry models Antonio Manresa, Ferran Sancho (pp. 94-100) Back to Top B

Economic Modelling Volume 33 Issue No 01 (2013)

10

Current Contents Bulletin August, 2013

Data revisions and periodic properties of macroeconomic data Philip Hans Franses (pp. 139-141)

Validating an ultra-short survey measure of patience Thomas Vischer, Thomas Dohmen, Armin Falk, David Huffman, Jürgen Schupp, Uwe Sunde, Gert G. Wagner (pp. 142-145)

On existence of moment of mean reversion estimator in linear diffusion models Yong Bao, Aman Ullah, Victoria Zinde-Walsh (pp. 146-148)

Fighting corruption: To precommit or not? Fabien Ngendakuriyo, Georges Zaccour (pp. 149-154)

Iterated Choquet expectations: A possibility result Adam Dominiak (pp. 155-159)

The role of information in contests Pradeep Dubey (pp. 160-163)

The lottery Blotto game Antonio Osorio (pp. 164-166)

Do economic conditions influence environmental policy? Evidence from the US Senate Grant D. Jacobsen (pp. 167-170)

Delinquency model predictive power among low-documentation loans Wei Jiang, Ashlyn Aiko Nelson, Edward Vytlacil (pp. 171-173)

Unsubsidized microfinance institutions Bert D’Espallier, Marek Hudon (pp. 174-176)

A note on ’s non-existence pathology of rational expectations equilibria Giacomo Rondina, Todd B. Walker (pp. 177-180)

Step thinking and costly coordination Enrique Fatas, Antonio J. Morales (pp. 181-183) Back to Top B

Economics Letters Volume 120 Issue No 02 (2013)

11

Current Contents Bulletin August, 2013

What determines households inflation expectations? Theory and evidence from a household survey Joshy Easaw, Roberto Golinelli, Marco Malgarini (pp. 1-13)

Bidding behavior and experience in internet auctions Rachel A.J. Pownall, Leonard Wolk (pp. 14-27)

Tax reforms under market distortions in product and labour markets Konstantinos Angelopoulos, Wei Jiang, James R. Malley (pp. 28-42)

Cost incentives for doctors: A double-edged sword Christoph Schottmüller (pp. 43-58)

An experimental test of a committee search model Yoichi Hizen, Keisuke Kawata, Masaru Sasaki (pp. 59-76)

Disinflation effects in a medium-scale New Keynesian model: Money supply rule versus interest rate rule Guido Ascari, Tiziano Ropele (pp. 77-100)

Analyzing the effects of US monetary policy shocks in dollarized countries Tim Willems (pp. 101-115)

Margins and market shares: Pharmacy incentives for generic substitution Kurt Richard Brekke, Tor Helge Holmås, Odd Rune Straume (pp. 116-131)

Offshoring, tasks, and the skill-wage pattern Daniel Baumgarten, Ingo Geishecker, Holger Görg (pp. 132-152)

Intergenerational attitudes towards strategic uncertainty and competition: A field experiment in a Swiss bank Thierry Madiès, Marie Claire Villeval, Malgorzata Wasmer (pp. 153-168)

The effect of power imbalances on incentives to make non-contractible investments Marco Faravelli, Oliver Kirchkamp, Helmut Rainer (pp. 169-185) Back to Top B

European Economic Review Volume 61 Issue No 01 (2013)

12

Current Contents Bulletin August, 2013

Innovative employee behaviour: The moderating effects of mental involvement and job satisfaction on contextual variables Rune Bysted (pp. 268 - 284)

Understanding the impact of technology on firms’ business models Sérgio André Cavalcante (pp. 285 - 300)

Key determinants of the successful adoption of new product development methods Marc Graner, Magdalena Mißler-Behr (pp. 301 - 316)

Exploring the moderating influence of product innovativeness on the organizational integration-new product market success relationship Murray R. Millson (pp. 317 - 334)

Innovative ICT-mediated activities for people, profit and planet Helen Hasan, Joseph Meloche (pp. 335 - 354)

Adoption of “eco-advantage” by SMEs: emerging opportunities and constraints Lynn Oxborrow, Clare Brindley (pp. 355 - 375) Back to Top B

European Journal of Innovation Management Volume 61 Issue No 03 (2013)

13

Current Contents Bulletin August, 2013

ICT and productivity: conclusions from the empirical literature M. Cardona, T. Kretschmer, T. Strobel (pp. 109-125)

Mobile communication networks and Internet technologies as drivers of technical efficiency improvement Maria del Pilar Baquero Forero (pp. 126-141)

The impact of infrastructure and service-based competition on the deployment of next generation access net-works: Recent evidence from the European member states Wolfgang Briglauer, Georg Ecker, Klaus Gugler (pp. 142-153)

Exclusive contents and next generation networks Juan José Ganuza, María Fernanda Viecens (pp. 154-170)

ICT services and small businesses’ productivity gains: An analysis of the adoption of broadband Internet technol-ogy Massimo G. Colombo, Annalisa Croce, Luca Grilli (pp. 171-189)

More bits – more bucks? Measuring the impact of broadband internet on firm performance Irene Bertschek, Daniel Cerquera, Gordon J. Klein (pp. 190-203)

Why adopt social enterprise software? Impacts and benefits Benjamin Engelstätter, Miruna Sarbu (pp. 204-213) Back to Top B

Information Economics & Policy Volume 25 Issue No 03 (2013)

14

Current Contents Bulletin August, 2013

Systemic Banking Crises Database Luc Laeven and Fabián Valencia (pp.225-270)

Rising Income Inequality: Technology, or Trade and Financial Globalization? Florence Jaumotte, Subir Lall and Chris Papageorgiou (pp.271-309)

Transparency of Banking Supervisors Franka Liedorp, Robert Mosch, Carin van der Cruijsen and Jakob de Haan (pp.310-335)

Shanghai's Trade, China's Growth: Continuity, Recovery, and Change since the Opium Wars Wolfgang Keller, Ben Li and Carol H Shiue (pp.336-378)

Past Fiscal Adjustments: Lessons from Failures and Successes Paolo Mauro and Mauricio Villafuerte (pp.379-404) Back to Top B

IMF Economic Review Volume 61 Issue No 02 (2013)

15

Current Contents Bulletin August, 2013

Is audit failing the global capital markets? Andrew D Chambers (pp.195-212)

The EU law on auditing and the role of auditors in the global financial crisis of 2008 Hatice Kubra Kandemir (pp.213-233)

The potential implications of the financial reporting expectations gap for the development of corporate govern-ance Andrew Higson (pp.234-245)

Collibration as an alternative regulatory approach for remuneration governance: A contextual analysis of Austra-lia Zahid Riaz, Sangeeta Ray, Pradeep Kanta Ray and James Kirkbride (pp.246-260)

The personality of company directors and behavioural risks in corporate governance: Bridging the unidentified gap Ngozi Okoye (pp.261-286) Back to Top B

International Journal of Disclosure and Governance Volume 10 Issue No 03 (2013)

16

Current Contents Bulletin August, 2013

Long memory and fractional integration in high frequency data on the US dollar/British pound spot exchange rate Guglielmo Maria Caporale, Luis A. Gil-Alana (pp. 1-9)

Liquidity and expected returns—Evidence from 1926–2008 M. Reza Baradarannia, Maurice Peat (pp. 10-23)

How does transparency affect bank financial performance? Aigbe Akhigbe, James E. McNulty (pp. 24-30)

Cash dividends and investor protection in Asia Abhinav Goyal, Cal Muckley (pp. 31-43)

Short sale restrictions, differences of opinion, and single-country, closed-end fund discount Lee W. Sanning, Alexandre Skiba, Hilla Skiba (pp. 44-50)

The determinants of quantile autocorrelations: Evidence from the UK Bartosz Gębka, Mark E. Wohar (pp. 51-61)

An analysis of contagion among Asian countries using the canonical model of contagion André L.P. Ribeiro, Luiz K. Hotta (pp. 62-69)

The short-run relationship between the financial system and economic growth: New evidence from regional pan-els Paresh Kumar Narayan, Seema Narayan (pp. 70-78)

Female directors and UK company acquisitiveness Michael Dowling, Zakaria Ali Aribi (pp. 79-86)

New return anomalies and new-Keynesian ICAPM Sungjun Cho (pp. 87-106)

Short sales constraint and SEO pricing Charlie Charoenwong, David K. Ding, Ping Wang (pp. 107-118) Back to Top B

International Review of Financial Analysis Volume 29 Issue No 01 (2013)

17

Current Contents Bulletin August, 2013

In Praise of Simplicity not Mathematistry! Ten Simple Powerful Ideas for the Statistical Scientist Roderick J. Little (pp. 359-369)

Partially Ordered Mixed Hidden Markov Model for the Disablement Process of Older Adults Edward Ip, Qiang Zhang, Jack Rejeski, Tammy Harris & Stephen Kritchevsky (pp. 370-384)

A Generalized Fellegi–Sunter Framework for Multiple Record Linkage With Application to Homicide Record Sys-tems Mauricio Sadinle & Stephen E. Fienberg (pp. 385-397)

Tracking Multiple Targets Using Binary Decisions From Wireless Sensor Networks Natallia Katenka, Elizaveta Levina & George Michailidis (pp. 398-410)

Spline-Based Emulators for Radiative Shock Experiments With Measurement Error Avishek Chakraborty, Bani K. Mallick, Ryan G. Mcclarren, Carolyn C. Kuranz, Derek Bingham (pp. 411-428)

A Bayesian Reliability Analysis of Neutron-Induced Errors in High Performance Computing Hardware Curtis B. Storlie, Sarah E. Michalak, Heather M. Quinn (pp. 429-440)

Treatment Evaluation With Selective Participation and Ineligibles Monica Costa Dias, Hidehiko Ichimura & Gerard J. van den Berg (pp. 441-455)

Straight to the Source: Detecting Aggregate Objects in Astronomical Images With Proper Error Control David A. Friedenberg & Christopher R. Genovese (pp. 456-468)

Mediation and Spillover Effects in Group-Randomized Trials: A Case Study of the 4Rs Educational Intervention Tyler J. Vanderweele, Guanglei Hong, Stephanie M. Jones & Joshua L. Brown (pp. 469-482)

A Hierarchical Bayesian Approach for Aerosol Retrieval Using MISR Data Yueqing Wang, Xin Jiang, Bin Yu & Ming Jiang (pp. 483-493) Back to Top B

Journal of American Statistical Association Volume 29 Issue No 01 (2013)

18

Current Contents Bulletin August, 2013

Bank regulatory capital and liquidity: Evidence from US and European publicly traded banks Isabelle Distinguin, Caroline Roulet, Amine Tarazi (pp. 3295-3317)

The wisdom of crowds: Mutual fund investors’ aggregate asset allocation decisions John Chalmers, Aditya Kaul, Blake Phillips (pp. 3318-3333)

Forecasting liquidity-adjusted intraday Value-at-Risk with vine copulas Gregor N.F. Weiß, Hendrik Supper (pp. 3334-3350)

Predicting bear and bull stock markets with dynamic binary time series models Henri Nyberg (pp. 3351-3363)

Bank ownership, privatization, and performance: Evidence from a transition country Chunxia Jiang, Shujie Yao, Genfu Feng (pp. 3364-3372)

Banks’ capital buffer, risk and performance in the Canadian banking system: Impact of business cycles and regula-tory changes Alaa Guidara, Van Son Lai, Issouf Soumaré (pp. 3373-3387)

The cross-sectional relation between conditional heteroskedasticity, the implied volatility smile, and the variance risk premium Louis H. Ederington, Wei Guan (pp. 3388-3400)

Are extreme returns priced in the stock market? European evidence Jan Annaert, Marc De Ceuster, Kurt Verstegen (pp. 3401-3411)

Does banking competition alleviate or worsen credit constraints faced by small- and medium-sized enterprises? Evidence from China Terence Tai-Leung Chong, Liping Lu, Steven Ongena (pp. 3412-3424)

Persistency of financial distress amongst Italian households: Evidence from dynamic models for binary panel data Elena Giarda (pp. 3425-3434)

Diversification and heterogeneity of investor beliefs Jie Jiao, Bin Qiu, An Yan (pp. 3435-3453) Back to Top B

Journal of Banking & Finance Volume 37 Issue No 09 (2013)

19

Current Contents Bulletin August, 2013

Value creation from asset sales: New evidence from bond and stock markets Matthew J. Clayton, Natalia Reisel (pp. 1-15)

The value of corporate voting rights embedded in option prices Axel Kind, Marco Poltera (pp. 16-34)

Insider trading and share repurchases: Do insiders and firms trade in the same direction? Alice A. Bonaimé, Michael D. Ryngaert (pp. 35-53)

Dividend payouts: Evidence from U.S. bank holding companies in the context of the financial crisis José Filipe Abreu, Mohamed Azzim Gulamhussen (pp. 54-65)

Takeover vulnerability and the behavior of short-term stock returns Joon Chae, Dong Wook Lee, Shu Feng Wang (pp. 66-82)

How important is capital structure policy to firm survival? Y. Peter Chung, Hyun Seung Na, Richard Smith (pp. 83-103)

Speed and consequences of venture capitalist post-IPO exit Imants Paeglis, Parianen Veeren (pp. 104-123)

Entrenchment or incentive? CEO employment contracts and acquisition decisions Jing Zhao (pp. 124-152)

Conglomerates on the rise again? A cross-regional study on the impact of the 2008–2009 financial crisis on the diversification discount Christin Rudolph, Bernhard Schwetzler (pp. 153-165)

Business groups in China Jia He, Xinyang Mao, Oliver M. Rui, Xiaolei Zha (pp. 166-192)

Does the timing of dividend reductions signal value? Empirical evidence Tyler J. Hull (pp. 193-208) Back to Top B

Journal of Corporate Finance Volume 22 (2013)

20

Current Contents Bulletin August, 2013

The effect of labour earnings on post retirement income Roberta Adami, Orla Gough, Angeliki Theophilopoulou (pp. 284 - 297)

Real exchange rate misalignment and economic growth in Malaysia Hock Tsen Wong (pp. 298 - 313)

Economic uncertainty and money demand stability in Turkey K. Azim Özdemir, Mesut Saygili (pp. 314 – 333)

Economic policies, macroeconomic environment and entrepreneurs' expectations: Evidence from Brazil Gabriel Caldas Montes, Júlio Cesar Albuquerque Bastos (pp. 334 - 354)

Trade performances and technology in the enlarged European Union Alessandro Antimiani, Valeria Costantini (pp. 355 - 389)

Financial sector consolidation and competition in Malaysia: An application of the Panzar-Rosse method Fadzlan Sufian, Muzafar Shah Habibullah (pp. 390 - 410)

Empirical tests of the Marshall-Lerner condition: a literature review Mohsen Bahmani, Hanafiah Harvey, Scott W. Hegerty (pp. 411 - 443) Back to Top B

Journal of Economic Studies Volume 40 Issue No 03 (2013)

21

Current Contents Bulletin August, 2013

The effect of labour earnings on post retirement income Roberta Adami, Orla Gough, Angeliki Theophilopoulou (pp. 284 - 297)

Real exchange rate misalignment and economic growth in Malaysia Hock Tsen Wong (pp. 298 - 313)

Economic uncertainty and money demand stability in Turkey K. Azim Özdemir, Mesut Saygili (pp. 314 – 333)

Economic policies, macroeconomic environment and entrepreneurs' expectations: Evidence from Brazil Gabriel Caldas Montes, Júlio Cesar Albuquerque Bastos (pp. 334 - 354)

Trade performances and technology in the enlarged European Union Alessandro Antimiani, Valeria Costantini (pp. 355 - 389)

Financial sector consolidation and competition in Malaysia: An application of the Panzar-Rosse method Fadzlan Sufian, Muzafar Shah Habibullah (pp. 390 - 410)

Empirical tests of the Marshall-Lerner condition: a literature review Mohsen Bahmani, Hanafiah Harvey, Scott W. Hegerty (pp. 411 - 443) Back to Top B

Journal of Economic Psychology Volume 40 Issue No 03 (2013)

22

Current Contents Bulletin August, 2013

Stock option fraud prevention in Islamic country: does corporate governance matter? Tariq H. Ismail, Zakia Abdelmoniem (pp. 4 - 28)

Impact of banking regulation on risk and efficiency in Islamic banking Nafis Alam (pp. 29 - 50)

An appraisal on the business success of entrepreneurial asnaf: An empirical study on the state zakat organization (the Selangor Zakat Board or Lembaga Zakat Selangor) in Malaysia Amirul Afif Muhamat, Norlida Jaafar, Hardi Emrie Rosly, Hasman Abdul Manan (pp. 51 - 63)

A probabilistic evolutionary learning model with epistemological meaning in Islamic economics and finance Masudul Alam Choudhury, Mostaq M. Hossain (pp. 64 - 79)

Credit risk management pertaining to profit and loss sharing instruments in Islamic banking Zeyneb Hafsa Orhan Astrom (pp. 80 - 91)

Efficiency of Islamic and conventional banks in Malaysia Farhana Ismail, M. Shabri Abd. Majid, Rossazana Ab. Rahim (pp. 92 - 107) Back to Top B

Journal of Financial Reporting and Accounting Volume 11 Issue No 01 (2013)

23

Current Contents Bulletin August, 2013

Predicting Recessions with Factor Linear Dynamic Harmonic Regressions Marcos Bujosa, Antonio García-Ferrer and Aránzazu de Juan (pp. 481–499)

Short-Term Forecasts of French GDP: A Dynamic Factor Model with Targeted Predictors Marie Bessec (pp. 500–511)

An Option-Based Approach to Risk Arbitrage in Emerging Markets: Evidence from Taiwan Takeover Attempts Luke Lin, Li-Huei Lan and Shuang-shii Chuang (pp. 512–521)

Comparison of Realized Measure and Implied Volatility in Forecasting Volatility Heejoon Han and Myung D. Park (pp. 522–533)

Exponentially Smoothing the Skewed Laplace Distribution for Value-at-Risk Forecasting Richard Gerlach, Zudi Lu and Hai Huang (pp. 534–550)

Quantile Double AR Time Series Models for Financial Returns Yuzhi Cai, Gabriel Montes-Rojas and Jose Olmo (pp. 551–560)

The Role of High-Frequency Intra-daily Data, Daily Range and Implied Volatility in Multi-period Value-at-Risk Fore-casting Dimitrios P. Louzis, Spyros Xanthopoulos-Sisinis and Apostolos P. Refenes (pp. 561–576) Back to Top B

Journal of Forecasting Volume 32 Issue No 06 (2013)

24

Current Contents Bulletin August, 2013

Do modified audit opinions for Shanghai listed firms convey heterogeneous information? Donglin Pei, Philip A. Hamill (pp. 1-11)

The determinants of thinly capitalized tax avoidance structures: Evidence from Australian firms Grantley Taylor, Grant Richardson (pp. 12-25)

The incidence of earnings management on information asymmetry in an uncertain environment: Some Canadian evidence Denis Cormier, Sylvain Houle, Marie-Josée Ledoux (pp. 26-38)

The impact of national GAAP and accounting traditions on IFRS policy selection: Evidence from Germany and the UK Axel Haller, Martin Wehrfritz (pp. 39-56)

Balance between auditing and marketing: An explorative study Pernilla Broberg, Timurs Umans, Carl Gerlofstig (pp. 57-70) Back to Top B

Journal of International Accounting, Auditing & Taxation Volume 22 Issue No 01 (2013)

25

Current Contents Bulletin August, 2013

On returns differentials Stephanie E. Curcuru, Charles P. Thomas (pp. 1-25)

The consumption-real exchange rate anomaly with extensive margins Masashige Hamano (pp. 26-46)

Time consistency of optimal monetary and fiscal policy in a small open economy Xuan Liu (pp. 47-67)

Insurance demand and country risks: A nonlinear panel data analysis Chien-Chiang Lee, Yi-Bin Chiu (pp. 68-85)

What drives currency predictability? Valerio Potì, Akhtar Siddique (pp. 86-106)

Investment allocation decisions, home bias and the mandatory IFRS adoption Mattias Hamberg, Taylan Mavruk, Stefan Sjögren (pp. 107-130)

Exchange-rate pass through, openness, and the sacrifice ratio Joseph P. Daniels, David D. VanHoose (pp. 131-150)

Early warning systems for currency crises: A multivariate extreme value approach Phornchanok Cumperayot, Roy Kouwenberg (pp. 151-171)

The performance of NDF carry trades John A. Doukas, Hao Zhang (pp. 172-190)

The extreme value in crude oil and US dollar markets Wei-Peng Chen, Taufiq Choudhry, Chih-Chiang Wu (pp. 191-210)

Large foreign ownership and stock price informativeness around the world Wen He, Donghui Li, Jianfeng Shen, Bohui Zhang (pp. 211-230) Back to Top B

Journal of International Money and Finance Volume 36 Issue No 01 (2013)

26

Current Contents Bulletin August, 2013

IPO valuation and insider manipulation of R&D Robert Hull, Rosemary Walker, Sungkyu Kwak (pp. 888 - 914)

Does information production explain bidder liquidity after takeovers? Adam Y.C. Lei, Huihua Li (pp. 915 - 937)

Liquidity creation or de-creation: evidence from US property and liability insurance industry Byeongyong Paul Choi, Jin Park, Chia-Ling Ho (pp. 938 - 962)

Founding-family firms and the creation of value: Swedish evidence Mattias Hamberg, Egil Andre Fagerland, Kristoffer Kvamme Nilsen (pp. 963 - 978)

Acquirer's earnings quality and the choice of payment method in mergers and acquisitions Kenneth Yung, Qian Sun, Hamid Rahman (pp. 979 - 1000) Back to Top B

Managerial Finance Volume 39 Issue No 10 (2013)

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Current Contents Bulletin August, 2013

The importance (or not) of patents to UK firms Bronwyn H. Hall, Christian Helmers, Mark Rogers (pp.603-629)

The heterogeneous costs of disclosure and the propensity to patent Diana Heger andAlexandra K. Zaby (pp.630-652)

Risk and vertical separation: the case of developing new technology Russell Thomson andElizabeth Webster (pp.653-674)

Patent rights and economic growth: evidence from cross-country panels of manufacturing industries Albert G.Z. Hu andI.P.L. Png (pp.675-698)

The role of foreign direct investment in the relation between intellectual property rights and growth Mila Kashcheeva (pp.699-720)

Trade mark cluttering–evidence from EU enlargement Georg von Graevenitz (pp.721-745)

The R&D tax credit in France: assessment and ex ante evaluation of the 2008 reform Benoît Mulkay andJacques Mairesse (pp.746-766) Back to Top B

Oxford Economic Papers Volume 65 Issue No 03 (2013)