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Start Over You searched for: Topic cointegration Remove constraint Topic: cointegration Publication Type Academic Journals Remove constraint Publication Type: Academic Journals Publisher taylor & francis ltd Remove constraint Publisher: taylor & francis ltd
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1. The dynamic relationship among the money market mutual funds, the commercial paper market, and the repo market.

2. Defence Spending and Growth in Cyprus: A Causal Analysis † † We gratefully acknowledge the useful comments and constructive suggestions by the Editor of the journal and an anonymous referee on earlier versions of this paper. The usual disclaimer applies.

3. Capital expenditure and economic growth: A disaggregated analysis for Nepal.

4. Determinants of Tax Revenue Performance in European Countries: A Panel Data Investigation.

5. Solar energy-economic growth nexus in top 10 countries with the highest installed capacity.

6. Cognition and emotion in the information systems field: a review of twenty-four years of literature.

7. Research methods in economics to evaluate the role of energy efficiency and financial inclusion in achieving China's carbon neutrality target.

8. Violence and economic development in Mexico: a panel data cointegration approach.

9. Shocks effects of inflation, money supply, and exchange rate on the West African Monetary Zone (WAMZ): Asymmetric SVAR modelling.

10. Remittances, unemployment, growth and development: a panel cointegration approach.

11. Electricity consumption–economic growth nexus in Uganda.

12. Identifying credit and liquidity effects using a rank condition.

13. Modeling the employment–oil price nexus: A non-linear cointegration analysis for the U.S. market.

14. Monetary transmission--federal funds rate and CD rates.

15. Estimating the money demand function for Saudi Arabia using divisia monetary aggregate.

16. Does FDI affect environmental degradation? Examining pollution haven and pollution halo hypotheses using ARDL modelling.

17. Examining the relationship between tourism and CO2 emissions: evidence from APEC region.

18. The Saving-investment Relationship Revisited: New Evidence from Regime-switching Cointegration Approach.

19. Editorial.

20. Does the shadow economy increase income inequality in the short- and long-run? Empirical evidence from Uganda.

21. The impact of mining foreign direct investment on economic growth in Ghana.

22. Methodological problems in studies on the Taylor rule.

23. Estimates for coderivative of solution map in bilevel program.

24. Hallyu tourism: impacts on inbound tourists to South Korea.

25. Stock Market Linkages between the Asean Countries, China and the US: A Fractional Integration/cointegration Approach.

26. Exploring and visualizing co-patent networks in bioenergy field: A perspective from inventor, transnational inventor, and country.

27. Monetary Aggregates and Macroeconomic Performance: The Portuguese Escudo, 1911–1999.

28. The asymmetric and non-linear relationship between capital flight and economic growth nexus.

29. The nexus among foreign direct investment in renewable electricity industry, renewable electricity production, and economic growth in Africa.

30. Public debt and inflation: empirical evidence from Ghana.

31. The impact of foreign direct investment on agricultural exports: The evidence from developing countries.

32. Are Term Premiums Predictable in Central European Countries? The Forward Rates Agreements (FRA) Application.

33. Gender and corruption: examining the nexus in MENA countries using PMG-ARDL approach.

34. Is the Thai government revenue-spending nexus asymmetric?

35. Military Expenditure Economic Growth Nexus in Jordan: An Application of ARDL Bound Test Analysis in the Presence of Breaks.

36. Vertical price transmission in wheat and flour markets in Bangladesh: an application of asymmetric threshold model.

37. The trend and cycle components of China's housing prices: a new decomposition method.

38. Foreign direct investment and economic growth in Côte d'Ivoire : An application of the bounds testing approach to cointegration.

39. Determinants of Defense Spending: The Role of Strategic Factors in France.

41. Mean reversion in monetary aggregates in Chile.

42. Mission-oriented R&D and growth of Japan 1988–2016: a comparison with private and public R&D.

43. The link between household savings rates and GDP: evidence from the Visegrád group.

44. An examination of higher-moment contagion during the South Sea Bubble.

45. New evidence toward solving the puzzle of innovation and inequality. The role of institutions.

46. What moves shipping markets?: A variance decomposition of price–charter ratios.

47. Correlation between COVID-19 cases and gold price fluctuation.

48. Relationships among labour productivity, real wages and inflation in Turkey.

49. Role of financial development in the export performance of a landlocked developing country: The case of Nepal.

50. DEFENSE SPENDING AND AGGREGATE OUTPUT IN THE UNITED STATES.