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Year of publication
Subject
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Australia 7 Asset Pricing 6 China 5 Corruption 5 Theory 5 corruption 5 inequality 5 positional concerns 5 social capital 5 Demand for Money 4 Tax Evasion 4 Tax Morale 4 Theorie 4 chaos 4 market efficiency 4 tax compliance 4 Altruism 3 Data envelopment analysis 3 Deterrence 3 Malmquist indices 3 Police Officers 3 Quasi-Natural Experiment 3 Relative income 3 Stress 3 Volatility 3 awards 3 environmental morale 3 environmental preferences 3 envy 3 invariant distribution 3 logistic map 3 mean and volatility spillovers 3 multivariate GARCH 3 performance 3 tax evasion 3 tax morale 3 technology adoption 3 American Economic Review 2 Art and collectibles 2 Bootstrap 2
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Online availability
All
Free 391
Type of publication
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Book / Working Paper 417
Type of publication (narrower categories)
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Arbeitspapier 11 Graue Literatur 11 Non-commercial literature 11 Working Paper 11
Language
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English 220 Undetermined 197
Author
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Torgler, Benno 59 Caporale, Guglielmo Maria 26 Drew, Michael E. 24 Worthington, Andrew C. 20 Worthington, Andrew 17 Frijters, Paul 16 Higgs, Helen 16 Gil-Alana, Luis A. 15 Martin, Christopher 15 Valadkhani, Abbas 14 Wolff, Rodney C 14 Lahiri, Radhika 13 Veeraraghavan, Madhu 13 Wilson, Clevo 13 Davis, E Philip 11 Robinson, Marc 11 Bennett, John 9 Frey, Bruno S. 8 Boinet, Virginie 7 Dong, Bin 7 Iossa, Elisabetta 7 Li, Steven 7 Schmidt, Sascha L. 7 Athukorala, Wasantha 6 Clements, Adam 6 Dulleck, Uwe 6 Lee, Boon 6 Milas, Costas 6 Savage, David A. 6 Schaffner, Markus 6 Hunter, John 5 Layton, Allan P. 5 Mase, Bryan 5 Pal, Sarmistha 5 Piatti, Marco 5 Sarno, Lucio 5 Stanford, Jon D. 5 Taylor, Mark P. 5 Bratsiotis, George J. 4 Cerrato, Mario 4
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Institution
All
School of Economics and Finance, Business School 254 Economics and Finance Section, School of Social Sciences, Brunel University 152
Published in...
All
School of Economics and Finance Discussion Papers and Working Papers Series 254 Economics and Finance Discussion Papers 152 School of Economics and Finance discussion paper 11
Source
All
RePEc 406 ECONIS (ZBW) 11
Showing 311 - 320 of 417
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Transmission of prices and price volatility in Australian electricity spot markets: A multivariate GARCH analysis
Worthington, Andrew C.; Kay-Spratley, Adam; Higgs, Helen - School of Economics and Finance, Business School - 2002
This paper examines the transmission of spot electricity prices and price volatility among the five Australian electricity markets in the National Electricity Market (NEM): namely, New South Wales (NSW), Queensland (QLD), South Australia (SA), the Snowy Mountains Hydroelectric Scheme (SNO) and...
Persistent link: https://www.econbiz.de/10005635679
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Market Timing and Selectivity: Evidence from Australian Equity Superannuation Funds
Drew, Michael E.; Veeraraghavan, Madhu; Wilson, Vanessa - School of Economics and Finance, Business School - 2002
In this performance evaluation study, two questions are addressed. First, do active fund managers possess macro and micro forecasting skills that deliver superior risk-adjusted returns? Second, what is the nature of market timing/stock selectivity trade off in the generation of alpha? The...
Persistent link: https://www.econbiz.de/10005635687
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Motor Vehicle Usage Patterns in Australia: A Comparative Analysis of Driver, Vehicle & Purpose Characteristics for Household & Freight Travel
Goffey, Kathleen; Worthington, Andrew - School of Economics and Finance, Business School - 2002
An ordered probit model is used to predict motor vehicle usage in Australia on the basis of the unit record files underlying the Australian Bureau of Statistics’ Survey of Motor Vehicle Use. Both household and freight transport are analysed. The paper examines the statistical significance of a...
Persistent link: https://www.econbiz.de/10005196349
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Comovements among European equity sectors: Selected evidence from the consumer discretionary, consumer staples, financial, industrial and materials sectors
Taing, Siv Heng; Worthington, Andrew C. - School of Economics and Finance, Business School - 2002
This paper examines comovements between equity sectors across European markets during the post-euro adoption period 1999-2002. The markets comprise six selected Member States of the European Union (EU): namely, Belgium, Finland, France, Germany, Ireland and Italy. The five sectors selected are...
Persistent link: https://www.econbiz.de/10005196353
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Are currency crises self-fulfilling? the case of Argentina
Boinet, Virginie; Napolitano, Oreste; Spagnolo, Nicola - Economics and Finance Section, School of Social … - 2002
This paper analyzes the 2002 Argentine crisis using the Jeanne and Masson (2000) model with sunspots. Testing this model empirically through a Markov-switching model suggests that self-sulfilling prophecies is a reasonable explanation for the devaluation of the peso.
Persistent link: https://www.econbiz.de/10005403865
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THE ROLE AND NATURE OF MARKET SENTIMENT IN THE 1992 ERM CRISIS
Napolitano, Oreste; Montagnoli, Alberto; Canale, … - Economics and Finance Section, School of Social … - 2002
This paper attempts to explain the importance of the role of the speculators in determining the 1992 ERM crisis, and the effects that the policy of maintaining external parity had on internal growth. We focus on a different way through which expectations are formed about the macroeconomic...
Persistent link: https://www.econbiz.de/10005403868
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Are International R&D Spillovers Costly for the US?
Luintel, Kul B; Khan, Mosahid - Economics and Finance Section, School of Social … - 2002
Coe and Helpman (1995) and others report positive and equivalent R&D spillovers across G7 countries. We argue that their homogeneity constraint on spillovers across G7 countries is inappropriate, and show that it is rejected by the data. Extending the data set and applying new empirical...
Persistent link: https://www.econbiz.de/10005403870
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Informal Credit Markets, Interlinkage and Migration
Khwaja, Yasmeen - Economics and Finance Section, School of Social … - 2002
This paper develops a model of interlinkage in the credit market and labor market. A credit-cum-labor contract provides the necessary funds to undertake an investment in migration, given the absence of sufficient collateral. The optimal interlinked contract eliminates the scope for strategic...
Persistent link: https://www.econbiz.de/10005403873
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The Impact of Changes in the FTSE 100 Index
Mase, Bryan - Economics and Finance Section, School of Social … - 2002
This paper examines both the long-term and short-term impact associated with changes in the constituents of the FTSE 100 Index. We find that stocks exhibit positive (negative) abnormal long-run performance following their inclusion in (deletion from) the index. There is also evidence of...
Persistent link: https://www.econbiz.de/10005403875
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Monetary Policy Rules and the Persistence of Inflation and Output
Bratsiotis, George J.; Martin, Christopher - Economics and Finance Section, School of Social … - 2002
This paper argues that the parameters of monetary policy rules affect the persistence of inflation and output. Persistence is lower if monetary policy emphasises the price level or if there is an inflation target. A greater emphasis on output increases persistence. There is a simple New...
Persistent link: https://www.econbiz.de/10005403879
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