Twenty-nine years of the Journal of International Review of Economics and Finance: A scientometric overview (1992–2020)
This paper aims to conduct a comprehensive retrospective analysis of the International
Review of Economics and Finance (IREF). Using the bibliometric approach, the study …
Review of Economics and Finance (IREF). Using the bibliometric approach, the study …
Stock market response to quantitative easing: evidence from the novel rolling windows nonparametric causality-in-quantiles approach
G Olasehinde-Williams, I Olanipekun… - Computational Economics, 2024 - Springer
Abstract The US Federal Reserve has been using quantitative easing as an unconventional
monetary policy tool for providing liquidity and credit-market facilities to banks, and …
monetary policy tool for providing liquidity and credit-market facilities to banks, and …
A survey of empirical findings on unconventional central bank policies
S Papadamou, C Siriopoulos… - Journal of Economic …, 2020 - emerald.com
Purpose This paper presents an integrated overview of the empirical literature on the impact
of all forms of unconventional monetary policy on macroeconomic variables and on markets …
of all forms of unconventional monetary policy on macroeconomic variables and on markets …
The effects of quantitative easing on Bitcoin prices
Y Zhao, M Zhang, Z Pei, J Nan - Finance Research Letters, 2023 - Elsevier
This study aimed to examine the impact of the US quantitative easing policy on Bitcoin
Prices in 2017–2023. A Time-Varying Parameter VAR (TVP-VAR) model was constructed for …
Prices in 2017–2023. A Time-Varying Parameter VAR (TVP-VAR) model was constructed for …
The impacts of overseas market shocks on the CDS-option basis
This study examines the domestic and foreign factors that affect the basis between equity
index put options and sovereign credit default swaps (CDSs) in a leading emerging market …
index put options and sovereign credit default swaps (CDSs) in a leading emerging market …
A network analysis on country and financial center attractiveness: Evidence from Asian economies, 2001–2018
T Miyakoshi, J Shimada, KW Li - International Review of Economics & …, 2023 - Elsevier
By using a network analysis that incorporates both quantity and quality assessments, this
paper investigates the two factors of country and financial brokerage center for investment …
paper investigates the two factors of country and financial brokerage center for investment …
Relation between the macroeconomic variables and the stock return in companies of the finance and insurance sector from Latin American stock market
AM de Sousa, RM Noriller… - Journal of …, 2018 - gcgjournal.georgetown.edu
This paper aims to verify the relation between the macroeconomic indicators with the Stock
Return (SR) in public companies of the finance and insurance sector from Latin America …
Return (SR) in public companies of the finance and insurance sector from Latin America …
Spillover effects of US QE and QE tapering on African and middle eastern stock indices
In this paper, we study spillover effects on the stock markets of six African and nine Middle
Eastern emerging economies before, during, and after the implementation of unconventional …
Eastern emerging economies before, during, and after the implementation of unconventional …
Features of Degradation of Silicon-Based Solar Photovoltaic Cells
L Boudjemila, VV Davydov, VG Malyshkin… - … Youth Conference on …, 2022 - Springer
The article substantiates the need for the development of solar power plants in the energy
system of various countries. Currently known solar cells have limited band gaps which …
system of various countries. Currently known solar cells have limited band gaps which …
Spillover effects of the US monetary policy normalization on African stock markets
Purpose We study the contemporaneous effects of US monetary policy normalization on
African stock market using panel data from six African countries. Design/methodology …
African stock market using panel data from six African countries. Design/methodology …