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Macroeconomics and Finance in Emerging Market Economies最新文献

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Revisiting systemic risk during political shocks and its impact on unemployment: evidence from Tunisia 回顾政治冲击期间的系统性风险及其对失业的影响:来自突尼斯的证据
IF 1.3 Q3 Economics, Econometrics and Finance Pub Date : 2022-01-03 DOI: 10.1080/17520843.2021.2021017
Dorsaf Azouz Ghachem, Aymen Khamassi
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引用次数: 0
How does economic liberalization affect banks’ profits: empirical evidence from the Japanese banking sector‎? 经济自由化如何影响银行利润:来自日本银行业的经验证据?
IF 1.3 Q3 Economics, Econometrics and Finance Pub Date : 2021-12-28 DOI: 10.1080/17520843.2021.2019452
Faisal Abbas, Adnan Bashir, Shoaib Ali
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引用次数: 1
Financial structure gap and bank lending-deposit rate spread in Sub-Saharan Africa: a panel analysis 撒哈拉以南非洲地区金融结构差距与银行贷款存款利率差的面板分析
IF 1.3 Q3 Economics, Econometrics and Finance Pub Date : 2021-12-22 DOI: 10.1080/17520843.2021.2012966
K. B. Afful
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引用次数: 1
Realized skewness and momentum 实现偏度和动量
IF 1.3 Q3 Economics, Econometrics and Finance Pub Date : 2021-12-21 DOI: 10.1080/17520843.2021.2014104
Seema Rehman, S. Sharif, Wali Ullah, Mustansar Hayat
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引用次数: 0
Migration and Foreign Direct Investment in Hungary: a county-based panel data analysis 匈牙利的移民和外国直接投资:基于县的面板数据分析
IF 1.3 Q3 Economics, Econometrics and Finance Pub Date : 2021-12-10 DOI: 10.1080/17520843.2021.2012967
Devesh Singh
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引用次数: 1
Trust and Perception of Benefits as the Determinants of Behavior and Intention to Use Internet Banking in Indonesia 信任和利益感知是印度尼西亚使用网上银行行为和意向的决定因素
IF 1.3 Q3 Economics, Econometrics and Finance Pub Date : 2021-12-08 DOI: 10.1080/17520843.2021.2009635
E. S. Astuti, M. A. Musadieq, H. Utami
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引用次数: 1
Income diversification and firm’s performance of companies listed in Viet nam 越南上市公司收入多元化与企业绩效
IF 1.3 Q3 Economics, Econometrics and Finance Pub Date : 2021-12-06 DOI: 10.1080/17520843.2021.2005303
A. Nguyen, Huy Tam Phan, Phu Thanh Ngo, T. Vu
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引用次数: 0
The Asymmetric Effects of Monetary Policy, Currency Crises and Oil Price on Food Inflation in Iran: An Application of Quantile Regression 货币政策、货币危机和油价对伊朗食品通胀的不对称影响:分位数回归的应用
IF 1.3 Q3 Economics, Econometrics and Finance Pub Date : 2021-12-06 DOI: 10.1080/17520843.2021.2005926
Davoud Mahmoudinia
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引用次数: 5
Super growth portfolio – a study of Indian stocks 超增长投资组合——对印度股票的研究
IF 1.3 Q3 Economics, Econometrics and Finance Pub Date : 2021-11-24 DOI: 10.1080/17520843.2021.2006901
Rupkatha Das, P. Kayal
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引用次数: 2
Multivariate models for the prediction of stock returns in an emerging market economy: comparison of parametric and non-parametric models 新兴市场经济中股票收益预测的多元模型:参数模型与非参数模型的比较
IF 1.3 Q3 Economics, Econometrics and Finance Pub Date : 2021-11-24 DOI: 10.1080/17520843.2021.1997289
Lumengo Bonga‐Bonga, M. Mwamba
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引用次数: 0
期刊
Macroeconomics and Finance in Emerging Market Economies
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