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Advances in Pacific Basin business, economics and finance . Vol. 7 / / edited by Cheng-Few Lee and Min-Teh Yu
Advances in Pacific Basin business, economics and finance . Vol. 7 / / edited by Cheng-Few Lee and Min-Teh Yu
Pubbl/distr/stampa Bingley, England : , : Emerald Publishing, , [2019]
Descrizione fisica 1 online resource (304 pages)
Disciplina 330.91823
Collana Advances in Pacific Basin business, economics and finance
Soggetto topico Finance - Pacific Area
Business & Economics - Economic Conditions
Economic theory & philosophy
ISBN 1-78973-287-5
1-78973-285-9
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Record Nr. UNINA-9910793720003321
Bingley, England : , : Emerald Publishing, , [2019]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Advances in Pacific Basin business, economics and finance . Vol. 7 / / edited by Cheng-Few Lee and Min-Teh Yu
Advances in Pacific Basin business, economics and finance . Vol. 7 / / edited by Cheng-Few Lee and Min-Teh Yu
Edizione [1st ed.]
Pubbl/distr/stampa Bingley, England : , : Emerald Publishing, , [2019]
Descrizione fisica 1 online resource (304 pages)
Disciplina 330.91823
Collana Advances in Pacific Basin business, economics and finance
Soggetto topico Finance - Pacific Area
Business & Economics - Economic Conditions
Economic theory & philosophy
ISBN 1-78973-287-5
1-78973-285-9
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Front Cover -- Advances in Pacific Basin Business, Economics and Finance -- Editorial Board -- Contents -- List of Figures -- List of Tables -- List of Contributors -- A Consumption-based Evaluation of the Cat Bond Market -- 1. Introduction -- 1.1. The Cat Bond Market -- 2. The Model -- 2.1. Exogenous Risk and Economic Primitives -- 2.2. Endogenous Risk Premia and Sensitivity Parameters -- 3. Quantitative Evaluation -- 3.1. Calibration -- 3.2. Cat Bond Returns -- 3.3. Market Price of Cat Risks -- 3.4. Cat Bonds versus Corporate Bonds -- 3.5. Habit Sensitivity -- 4. Conclusion -- Notes -- References -- Optimal Trading and Tax Option Value of Defaultable Bonds with Asymmetric Capital Gain Taxes -- 1. Introduction -- 2. The Tax Environment -- 3. The Model -- 3.1. Buy-and-Hold Strategy -- 3.2. Optimal Trading Strategy -- 4. Numerical Results -- 4.1. Prices and Tax-timing Option Values of Default-free Bonds -- 4.2. Equilibrium Prices and Tax-timing Option Values for Defaultable Bonds -- 4.3. Effects of Transaction Costs -- 4.4. Changes in Interest Rate Volatility and Tax Regime -- 4.5. Sensitivity of Tax-timing Option Values to Default Risk -- 4.6. Multiple Trading Dates -- 4.6.1. The Optimal Cutoff Level in the Short-term Trading Region -- 5. Implications for Empirical Estimation -- 5.1. Effects of Ignoring Tax-timing Options on Estimation of Default Probability -- 5.2. Effects of Ignoring Tax-timing Option on Estimation of Implied Tax Rates -- 6. Conclusion -- Notes -- Acknowledgments -- References -- Empirical Analysis of Economic Policy Uncertainty and Stock Returns in Asian Markets -- 1. Introduction -- 2. The Analytical Framework -- 3. Description of Data and Variables -- 4. Empirical Estimations -- 4.1. Evidence from Domestic Market -- 4.2. Evidence of International EPU Influence -- 5. Robustness Tests -- 5.1. Evidence of Global EPU influence.
5.2. Time Effects of EPU -- 6. Conclusion -- Notes -- References -- A New Perspective on the Fama-French Five-factor Model -- 1. Introduction -- 2. Models and Methodologies -- 2.1. The Five-factor Model -- 2.2. The CO-AR Estimation -- 2.3. Breusch-Godfrey test -- 3. Empirical Results -- 3.1. Breusch-Godfrey Test -- 3.2. 25 Size-B/M Portfolio -- 3.2.1. Case 1 -- 3.2.2. Case 2 -- 3.3. 25 Size-Inv Portfolio -- 3.3.1. Case 1 -- 3.3.2. Case 2 -- 3.4. 25 Size-OP Portfolio -- 3.4.1. Case 1 -- 3.4.2. Case 2 -- 3.5. 32 Size-OP-Inv Portfolio -- 3.5.1. Case 1 -- 3.5.2. Case 2 -- 4. Conclusion -- References -- The Impact of Corporate Social Responsibility on Financial Performance: Evidence from Commercial Banks in Mongolia -- 1. Introduction -- 2. Literature Review -- 2.1. CSR Theories -- 2.2. Measurement Strategies -- 2.2.1. CSR Themes -- 2.2.2. Measurements of CSR Index -- 2.2.3. Measurements of CFP -- 2.3. Relationships between CSR and CFP -- 2.3.1. Positive Relation between CSR and CFP -- 2.3.2. Negative Relation between CSR and CFP -- 2.3.3. No Relation between CSR and CFP -- 3. Measurements, Hypotheses, Data, and Models -- 3.1. Measurements of Corporate Social Responsibility -- 3.1.1. Corporate Social Responsibility Reporting Disclosure -- 3.1.2. Corporate Social Responsibility Qualitative Disclosure -- 3.2. Testable Hypotheses -- 3.3. Data -- 3.4. Regression Models -- 4. Empirical Analysis and Results -- 4.1. Descriptive Statistics -- 4.2. The Results of Correlation Tests -- 4.3. The Results of Testing for Differences in Mean and Median for Subsamples -- 4.4. The Results of Multiple Regression Analysis -- 4.5. Robustness Tests -- 5. Conclusion -- Notes -- References -- The Role of Duration and Trades in the Information Assimilation Process of the US Treasury Market -- 1. Introduction -- 2. Dynamics of Returns, Volatility, and Trades.
2.1. Return and Trade Processes -- 2.2. Volatility and Volume Processes -- 3. Intertrade Arrival Time and Impulse Response Functions -- 4. Volatility Decomposition and Spread Regressions -- 5. Data and Empirical Results -- 5.1. Estimation for the Return VAR of On-the-run Issues -- 5.2. Estimation for the Volatility VAR of On-the-run Issues -- 5.3. VAR Estimation for Off-the-run Issues -- 5.4. Impulse Response Function -- 5.5. Volatility Decomposition -- 5.6. Price Efficiency -- 5.7. Spread Regressions -- 6. Conclusion -- Notes -- Acknowledgment -- References -- The Causal Factors behind Rising Non-performing Assets of India's Commercial Banks: A Panel Study -- 1. Introduction -- 2. Trends in India's NPAs -- 3. A Brief Literature Survey -- 3.1. Macroeconomic Factors -- 3.2. Bank-specific Factors -- 4. Data, Model, and Methodology -- 4.1. Data -- 4.2. Model and Methodology -- 4.3. Hypotheses -- 5. Results and Discussion -- 6. Conclusion and Policy Implications -- Notes -- References -- What Makes Listed Subsidiaries Delist in Japan? A Logistic Analysis -- 1. Introduction -- 2. Literature Review and Hypothesis Development -- 3. Data and Sample Selection -- 4. Univariate Analysis -- 5. Logistic Regression Analysis of Delisting Decisions -- 6. Concluding Remarks -- References -- Not All Firm Entries Are Made Equal: An Exploratory Note -- 1. Introduction -- 2. A Frictionless RBC Model with No Entry -- 3. Endogenous Firm Entry as Propagation Mechanism -- 3.1. Channel I: Product Variety and Extensive Margin on Labor Supply -- 3.2. Channel II: Credit-constrained Entry -- 4. Dynamics and Mechanism -- 5. Conclusion -- Notes -- References -- Do Unsolicited Bank Credit Ratings Matter to Bank Leverage Decision? Evidence from Asian Countries -- 1. Introduction -- 2. Hypotheses Development -- 3. Data and Method -- 3.1. Data and Summary Statistics.
3.2. Method for Examining a Bank's Leverage Behavior near a SCR or UCR Change -- 3.3. Method of Examining a Bank's Leverage Behavior Following a SCR or UCR Change -- 4. Empirical Results -- 4.1. Bank's Leverage Behavior near Changes in Solicited and Unsolicited Credit Rating -- 4.2. Bank's Leverage Behavior Following Solicited and Unsolicited Credit Rating Changes -- 4.3. Robustness Tests -- 5. Conclusion -- Notes -- Acknowledgment -- References -- Definitions of Variables -- Determinants of Bank Performance in Chile, Colombia, and Mexico -- 1. Introduction -- 2. Related Literature and Hypotheses Development -- 3. Data and Methodology -- 4. Results -- 5. Conclusion -- References -- Index.
Record Nr. UNINA-9911105314903321
Bingley, England : , : Emerald Publishing, , [2019]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Advances in Pacific Basin business, economics and finance . Vol. 7 / / edited by Cheng-Few Lee and Min-Teh Yu
Advances in Pacific Basin business, economics and finance . Vol. 7 / / edited by Cheng-Few Lee and Min-Teh Yu
Edizione [1st ed.]
Pubbl/distr/stampa Bingley, England : , : Emerald Publishing, , [2019]
Descrizione fisica 1 online resource (304 pages)
Disciplina 330.91823
Collana Advances in Pacific Basin business, economics and finance
Soggetto topico Finance - Pacific Area
Business & Economics - Economic Conditions
Economic theory & philosophy
ISBN 1-78973-287-5
1-78973-285-9
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Front Cover -- Advances in Pacific Basin Business, Economics and Finance -- Editorial Board -- Contents -- List of Figures -- List of Tables -- List of Contributors -- A Consumption-based Evaluation of the Cat Bond Market -- 1. Introduction -- 1.1. The Cat Bond Market -- 2. The Model -- 2.1. Exogenous Risk and Economic Primitives -- 2.2. Endogenous Risk Premia and Sensitivity Parameters -- 3. Quantitative Evaluation -- 3.1. Calibration -- 3.2. Cat Bond Returns -- 3.3. Market Price of Cat Risks -- 3.4. Cat Bonds versus Corporate Bonds -- 3.5. Habit Sensitivity -- 4. Conclusion -- Notes -- References -- Optimal Trading and Tax Option Value of Defaultable Bonds with Asymmetric Capital Gain Taxes -- 1. Introduction -- 2. The Tax Environment -- 3. The Model -- 3.1. Buy-and-Hold Strategy -- 3.2. Optimal Trading Strategy -- 4. Numerical Results -- 4.1. Prices and Tax-timing Option Values of Default-free Bonds -- 4.2. Equilibrium Prices and Tax-timing Option Values for Defaultable Bonds -- 4.3. Effects of Transaction Costs -- 4.4. Changes in Interest Rate Volatility and Tax Regime -- 4.5. Sensitivity of Tax-timing Option Values to Default Risk -- 4.6. Multiple Trading Dates -- 4.6.1. The Optimal Cutoff Level in the Short-term Trading Region -- 5. Implications for Empirical Estimation -- 5.1. Effects of Ignoring Tax-timing Options on Estimation of Default Probability -- 5.2. Effects of Ignoring Tax-timing Option on Estimation of Implied Tax Rates -- 6. Conclusion -- Notes -- Acknowledgments -- References -- Empirical Analysis of Economic Policy Uncertainty and Stock Returns in Asian Markets -- 1. Introduction -- 2. The Analytical Framework -- 3. Description of Data and Variables -- 4. Empirical Estimations -- 4.1. Evidence from Domestic Market -- 4.2. Evidence of International EPU Influence -- 5. Robustness Tests -- 5.1. Evidence of Global EPU influence.
5.2. Time Effects of EPU -- 6. Conclusion -- Notes -- References -- A New Perspective on the Fama-French Five-factor Model -- 1. Introduction -- 2. Models and Methodologies -- 2.1. The Five-factor Model -- 2.2. The CO-AR Estimation -- 2.3. Breusch-Godfrey test -- 3. Empirical Results -- 3.1. Breusch-Godfrey Test -- 3.2. 25 Size-B/M Portfolio -- 3.2.1. Case 1 -- 3.2.2. Case 2 -- 3.3. 25 Size-Inv Portfolio -- 3.3.1. Case 1 -- 3.3.2. Case 2 -- 3.4. 25 Size-OP Portfolio -- 3.4.1. Case 1 -- 3.4.2. Case 2 -- 3.5. 32 Size-OP-Inv Portfolio -- 3.5.1. Case 1 -- 3.5.2. Case 2 -- 4. Conclusion -- References -- The Impact of Corporate Social Responsibility on Financial Performance: Evidence from Commercial Banks in Mongolia -- 1. Introduction -- 2. Literature Review -- 2.1. CSR Theories -- 2.2. Measurement Strategies -- 2.2.1. CSR Themes -- 2.2.2. Measurements of CSR Index -- 2.2.3. Measurements of CFP -- 2.3. Relationships between CSR and CFP -- 2.3.1. Positive Relation between CSR and CFP -- 2.3.2. Negative Relation between CSR and CFP -- 2.3.3. No Relation between CSR and CFP -- 3. Measurements, Hypotheses, Data, and Models -- 3.1. Measurements of Corporate Social Responsibility -- 3.1.1. Corporate Social Responsibility Reporting Disclosure -- 3.1.2. Corporate Social Responsibility Qualitative Disclosure -- 3.2. Testable Hypotheses -- 3.3. Data -- 3.4. Regression Models -- 4. Empirical Analysis and Results -- 4.1. Descriptive Statistics -- 4.2. The Results of Correlation Tests -- 4.3. The Results of Testing for Differences in Mean and Median for Subsamples -- 4.4. The Results of Multiple Regression Analysis -- 4.5. Robustness Tests -- 5. Conclusion -- Notes -- References -- The Role of Duration and Trades in the Information Assimilation Process of the US Treasury Market -- 1. Introduction -- 2. Dynamics of Returns, Volatility, and Trades.
2.1. Return and Trade Processes -- 2.2. Volatility and Volume Processes -- 3. Intertrade Arrival Time and Impulse Response Functions -- 4. Volatility Decomposition and Spread Regressions -- 5. Data and Empirical Results -- 5.1. Estimation for the Return VAR of On-the-run Issues -- 5.2. Estimation for the Volatility VAR of On-the-run Issues -- 5.3. VAR Estimation for Off-the-run Issues -- 5.4. Impulse Response Function -- 5.5. Volatility Decomposition -- 5.6. Price Efficiency -- 5.7. Spread Regressions -- 6. Conclusion -- Notes -- Acknowledgment -- References -- The Causal Factors behind Rising Non-performing Assets of India's Commercial Banks: A Panel Study -- 1. Introduction -- 2. Trends in India's NPAs -- 3. A Brief Literature Survey -- 3.1. Macroeconomic Factors -- 3.2. Bank-specific Factors -- 4. Data, Model, and Methodology -- 4.1. Data -- 4.2. Model and Methodology -- 4.3. Hypotheses -- 5. Results and Discussion -- 6. Conclusion and Policy Implications -- Notes -- References -- What Makes Listed Subsidiaries Delist in Japan? A Logistic Analysis -- 1. Introduction -- 2. Literature Review and Hypothesis Development -- 3. Data and Sample Selection -- 4. Univariate Analysis -- 5. Logistic Regression Analysis of Delisting Decisions -- 6. Concluding Remarks -- References -- Not All Firm Entries Are Made Equal: An Exploratory Note -- 1. Introduction -- 2. A Frictionless RBC Model with No Entry -- 3. Endogenous Firm Entry as Propagation Mechanism -- 3.1. Channel I: Product Variety and Extensive Margin on Labor Supply -- 3.2. Channel II: Credit-constrained Entry -- 4. Dynamics and Mechanism -- 5. Conclusion -- Notes -- References -- Do Unsolicited Bank Credit Ratings Matter to Bank Leverage Decision? Evidence from Asian Countries -- 1. Introduction -- 2. Hypotheses Development -- 3. Data and Method -- 3.1. Data and Summary Statistics.
3.2. Method for Examining a Bank's Leverage Behavior near a SCR or UCR Change -- 3.3. Method of Examining a Bank's Leverage Behavior Following a SCR or UCR Change -- 4. Empirical Results -- 4.1. Bank's Leverage Behavior near Changes in Solicited and Unsolicited Credit Rating -- 4.2. Bank's Leverage Behavior Following Solicited and Unsolicited Credit Rating Changes -- 4.3. Robustness Tests -- 5. Conclusion -- Notes -- Acknowledgment -- References -- Definitions of Variables -- Determinants of Bank Performance in Chile, Colombia, and Mexico -- 1. Introduction -- 2. Related Literature and Hypotheses Development -- 3. Data and Methodology -- 4. Results -- 5. Conclusion -- References -- Index.
Record Nr. UNINA-9911145110503321
Bingley, England : , : Emerald Publishing, , [2019]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Economic well-being and inequality [[electronic resource] ] : papers from the Fifth ECINEQ meeting / / edited by John A. Bishop, Juan Gabriel Rodríguez
Economic well-being and inequality [[electronic resource] ] : papers from the Fifth ECINEQ meeting / / edited by John A. Bishop, Juan Gabriel Rodríguez
Edizione [First edition.]
Pubbl/distr/stampa West Yorkshire, England : , : Emerald, , 2014
Descrizione fisica 1 online resource (520 p.)
Disciplina 339.2
Altri autori (Persone) BishopJohn A
RodríguezJuan Gabriel
Collana Research on economic inequality
Soggetto topico Business & Economics - Economic Conditions
Financial crises & disasters
Economics
Economics, finance, business & management
Income distribution
ISBN 1-78350-556-7
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto The asset price meltdown and household wealth over the great recession in the United States / Edward N. Wolff -- Cross-national differences in wealth portfolios at the intensive margin: is there a role for policy? / Karina Doorley, Eva Sierminska -- The decomposition of well-being dimensions : an application to Germany / Jürgen Faik, Uwe Fachinger -- On the estimation of the global income distribution using a parsimonious approach / Vanesa Jordá, José María Sarabia, Faustino Prieto -- Poverty has declined, but what about the burden of non-extreme poverty? Generalized dominance criteria for convex subsets within the poverty domain / Florent Bresson -- Are mass media and ICTs associated with inequality and poverty? / Sanghamitra Bandyopadhyay -- Socioeconomic inequality in happiness in the / Shiyi Chen, Buhong Zheng -- Cross-country intergenerational status mobility : is there a Great Gatsby curve? / John A. Bishop, Haiyong Liu, Juan Gabriel Rodríguez -- Perception of income inequality : a multidimensional scaling study / Barbara Jancewicz -- Polarization of time and income : a multidimensional analysis for Germany / Joachim Merz, Bettina Scherg -- On the measurement of regional convergence in inequality and welfare / Adelaide P.S. Duarte ... [et al.] -- Regional income convergence in Portugal (1991-2002) / Gertrudes Guerreiro -- Inequality, welfare and order statistics / Encarnación M. Parrado-Gallardo, Elena Bárcena-Martín, Luis J. Imedio-Olmedo -- On the measurement of intermediate inequality : a dominance criterion for a ray-invariant notion / Francisco Azpitarte, Olga Alonso-Villar -- Wage distributions and the accounting period : an assessment of the Shorrocks effect / Carsten Schröder -- Tournaments and superstar models : a mixture of two Pareto distributions / Abdoul Aziz Junior Ndoye, Michel Lubrano -- Determinants of active income inequality for non-wage earners in Cameroon / Simon Alain Song Ntamack.
Record Nr. UNINA-9910787916903321
West Yorkshire, England : , : Emerald, , 2014
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Economic well-being and inequality : papers from the Fifth ECINEQ meeting / / edited by John A. Bishop, Juan Gabriel Rodríguez
Economic well-being and inequality : papers from the Fifth ECINEQ meeting / / edited by John A. Bishop, Juan Gabriel Rodríguez
Edizione [First edition.]
Pubbl/distr/stampa West Yorkshire, England : , : Emerald, , 2014
Descrizione fisica 1 online resource (520 p.)
Disciplina 339.2
Altri autori (Persone) BishopJohn A
RodríguezJuan Gabriel
Collana Research on economic inequality
Soggetto topico Business & Economics - Economic Conditions
Financial crises & disasters
Economics
Economics, finance, business & management
Income distribution
ISBN 9781783505562
1783505567
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto The asset price meltdown and household wealth over the great recession in the United States / Edward N. Wolff -- Cross-national differences in wealth portfolios at the intensive margin: is there a role for policy? / Karina Doorley, Eva Sierminska -- The decomposition of well-being dimensions : an application to Germany / Jürgen Faik, Uwe Fachinger -- On the estimation of the global income distribution using a parsimonious approach / Vanesa Jordá, José María Sarabia, Faustino Prieto -- Poverty has declined, but what about the burden of non-extreme poverty? Generalized dominance criteria for convex subsets within the poverty domain / Florent Bresson -- Are mass media and ICTs associated with inequality and poverty? / Sanghamitra Bandyopadhyay -- Socioeconomic inequality in happiness in the / Shiyi Chen, Buhong Zheng -- Cross-country intergenerational status mobility : is there a Great Gatsby curve? / John A. Bishop, Haiyong Liu, Juan Gabriel Rodríguez -- Perception of income inequality : a multidimensional scaling study / Barbara Jancewicz -- Polarization of time and income : a multidimensional analysis for Germany / Joachim Merz, Bettina Scherg -- On the measurement of regional convergence in inequality and welfare / Adelaide P.S. Duarte ... [et al.] -- Regional income convergence in Portugal (1991-2002) / Gertrudes Guerreiro -- Inequality, welfare and order statistics / Encarnación M. Parrado-Gallardo, Elena Bárcena-Martín, Luis J. Imedio-Olmedo -- On the measurement of intermediate inequality : a dominance criterion for a ray-invariant notion / Francisco Azpitarte, Olga Alonso-Villar -- Wage distributions and the accounting period : an assessment of the Shorrocks effect / Carsten Schröder -- Tournaments and superstar models : a mixture of two Pareto distributions / Abdoul Aziz Junior Ndoye, Michel Lubrano -- Determinants of active income inequality for non-wage earners in Cameroon / Simon Alain Song Ntamack.
Record Nr. UNINA-9911096020903321
West Yorkshire, England : , : Emerald, , 2014
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Economic well-being and inequality : papers from the Fifth ECINEQ meeting / / edited by John A. Bishop, Juan Gabriel Rodríguez
Economic well-being and inequality : papers from the Fifth ECINEQ meeting / / edited by John A. Bishop, Juan Gabriel Rodríguez
Edizione [First edition.]
Pubbl/distr/stampa West Yorkshire, England : , : Emerald, , 2014
Descrizione fisica 1 online resource (520 p.)
Disciplina 339.2
Altri autori (Persone) BishopJohn A
RodríguezJuan Gabriel
Collana Research on economic inequality
Soggetto topico Business & Economics - Economic Conditions
Financial crises & disasters
Economics
Economics, finance, business & management
Income distribution
ISBN 9781783505562
1783505567
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto The asset price meltdown and household wealth over the great recession in the United States / Edward N. Wolff -- Cross-national differences in wealth portfolios at the intensive margin: is there a role for policy? / Karina Doorley, Eva Sierminska -- The decomposition of well-being dimensions : an application to Germany / Jürgen Faik, Uwe Fachinger -- On the estimation of the global income distribution using a parsimonious approach / Vanesa Jordá, José María Sarabia, Faustino Prieto -- Poverty has declined, but what about the burden of non-extreme poverty? Generalized dominance criteria for convex subsets within the poverty domain / Florent Bresson -- Are mass media and ICTs associated with inequality and poverty? / Sanghamitra Bandyopadhyay -- Socioeconomic inequality in happiness in the / Shiyi Chen, Buhong Zheng -- Cross-country intergenerational status mobility : is there a Great Gatsby curve? / John A. Bishop, Haiyong Liu, Juan Gabriel Rodríguez -- Perception of income inequality : a multidimensional scaling study / Barbara Jancewicz -- Polarization of time and income : a multidimensional analysis for Germany / Joachim Merz, Bettina Scherg -- On the measurement of regional convergence in inequality and welfare / Adelaide P.S. Duarte ... [et al.] -- Regional income convergence in Portugal (1991-2002) / Gertrudes Guerreiro -- Inequality, welfare and order statistics / Encarnación M. Parrado-Gallardo, Elena Bárcena-Martín, Luis J. Imedio-Olmedo -- On the measurement of intermediate inequality : a dominance criterion for a ray-invariant notion / Francisco Azpitarte, Olga Alonso-Villar -- Wage distributions and the accounting period : an assessment of the Shorrocks effect / Carsten Schröder -- Tournaments and superstar models : a mixture of two Pareto distributions / Abdoul Aziz Junior Ndoye, Michel Lubrano -- Determinants of active income inequality for non-wage earners in Cameroon / Simon Alain Song Ntamack.
Record Nr. UNINA-9911147468803321
West Yorkshire, England : , : Emerald, , 2014
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Experiments in financial economics [[electronic resource] /] / edited by Sean M. Collins, R. Mark Isaac, Douglas A. Norton
Experiments in financial economics [[electronic resource] /] / edited by Sean M. Collins, R. Mark Isaac, Douglas A. Norton
Edizione [First edition.]
Pubbl/distr/stampa Bingley, United Kingdom : , : Emerald, , 2013
Descrizione fisica 1 online resource (179 p.)
Disciplina 332
Altri autori (Persone) CollinsSean M <1983-> (Sean Michael)
IsaacR. Mark <1954-> (Robert Mark)
NortonDouglas A. <1984->
Collana Research in experimental economics
Soggetto topico Business & Economics - General
Business & Economics - Economic Conditions
Economic theory & philosophy
Experimental economics
ISBN 1-78350-141-3
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Experiments in financial economics : an introduction / Sean M. Collins -- Asymmetric information and bank lending : the role of formal and informal institutions (a survey of laboratory research) / Angelina Nikitenko Christie -- Strategic default with social interactions : a laboratory experiment / Jean Paul Rabanal -- Divisible-good uniform price auctions : the role of allocation rules and communication among bidders / Martin Sefton, Ping Zhang -- The dividend puzzle : a laboratory investigation / Sascha Füllbrunn, Ernan Haruvy -- An experimental analysis of myopic loss aversion / Tomoki Kitamura, Munenori Nakasato -- Does everyone accept a free lunch? Decision-making under (almost) zero-cost borrowing / Michael Insler, James Compton, Pamela Schmitt.
Record Nr. UNINA-9910790712903321
Bingley, United Kingdom : , : Emerald, , 2013
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Experiments in financial economics / / edited by Sean M. Collins, R. Mark Isaac, Douglas A. Norton
Experiments in financial economics / / edited by Sean M. Collins, R. Mark Isaac, Douglas A. Norton
Edizione [First edition.]
Pubbl/distr/stampa Bingley, United Kingdom : , : Emerald, , 2013
Descrizione fisica 1 online resource (179 p.)
Disciplina 332
Altri autori (Persone) CollinsSean M. <1983-> (Sean Michael)
IsaacR. Mark <1954-> (Robert Mark)
NortonDouglas A. <1984->
Collana Research in experimental economics
Soggetto topico Business & Economics - General
Business & Economics - Economic Conditions
Economic theory & philosophy
Experimental economics
ISBN 9781783501410
1783501413
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Experiments in financial economics : an introduction / Sean M. Collins -- Asymmetric information and bank lending : the role of formal and informal institutions (a survey of laboratory research) / Angelina Nikitenko Christie -- Strategic default with social interactions : a laboratory experiment / Jean Paul Rabanal -- Divisible-good uniform price auctions : the role of allocation rules and communication among bidders / Martin Sefton, Ping Zhang -- The dividend puzzle : a laboratory investigation / Sascha Füllbrunn, Ernan Haruvy -- An experimental analysis of myopic loss aversion / Tomoki Kitamura, Munenori Nakasato -- Does everyone accept a free lunch? Decision-making under (almost) zero-cost borrowing / Michael Insler, James Compton, Pamela Schmitt.
Record Nr. UNINA-9911109625803321
Bingley, United Kingdom : , : Emerald, , 2013
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Experiments in financial economics / / edited by Sean M. Collins, R. Mark Isaac, Douglas A. Norton
Experiments in financial economics / / edited by Sean M. Collins, R. Mark Isaac, Douglas A. Norton
Edizione [First edition.]
Pubbl/distr/stampa Bingley, United Kingdom : , : Emerald, , 2013
Descrizione fisica 1 online resource (179 p.)
Disciplina 332
Altri autori (Persone) CollinsSean M. <1983-> (Sean Michael)
IsaacR. Mark <1954-> (Robert Mark)
NortonDouglas A. <1984->
Collana Research in experimental economics
Soggetto topico Business & Economics - General
Business & Economics - Economic Conditions
Economic theory & philosophy
Experimental economics
ISBN 9781783501410
1783501413
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Experiments in financial economics : an introduction / Sean M. Collins -- Asymmetric information and bank lending : the role of formal and informal institutions (a survey of laboratory research) / Angelina Nikitenko Christie -- Strategic default with social interactions : a laboratory experiment / Jean Paul Rabanal -- Divisible-good uniform price auctions : the role of allocation rules and communication among bidders / Martin Sefton, Ping Zhang -- The dividend puzzle : a laboratory investigation / Sascha Füllbrunn, Ernan Haruvy -- An experimental analysis of myopic loss aversion / Tomoki Kitamura, Munenori Nakasato -- Does everyone accept a free lunch? Decision-making under (almost) zero-cost borrowing / Michael Insler, James Compton, Pamela Schmitt.
Record Nr. UNINA-9911133343603321
Bingley, United Kingdom : , : Emerald, , 2013
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Families in economically hard times : experiences and coping strategies in Europe / / Dr. Vida Cesnuityte (Mykolas Romeris University, Lithuania), Dr. Gerardo Meil (Universidad Autónoma de Madrid, Spain)
Families in economically hard times : experiences and coping strategies in Europe / / Dr. Vida Cesnuityte (Mykolas Romeris University, Lithuania), Dr. Gerardo Meil (Universidad Autónoma de Madrid, Spain)
Pubbl/distr/stampa Bingley, England : , : Emerald Publishing, , [2020]
Descrizione fisica 1 online resource (241 pages)
Disciplina 306.85094
Soggetto topico Families - Economic aspects - Europe
Business & Economics - Economic Conditions
Economic & financial crises & disasters
ISBN 1-83909-071-5
1-83909-073-1
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Introduction / Vida Česnuitytė, & Gerardo Meil -- Part I. Economic hardships experienced by families -- Chapter 1. What are the family characteristics that better help to cope with the economic crisis? Evidence from a large population survey in Italy / Sara Mazzucchelli, & Miriam Parise -- Chapter 2. Social inequality and intergenerational solidarity in European welfare states / Ronny König, Bettina Isengard, & Marc Szydlik -- Chapter 3. The influence of children on inequality in employment between men and women: the case of Spain / Diego Dueñas Fernández, & Almudena Moreno Mínguez -- Chapter 4. Material deprivation and personal wellbeing of single mothers in Lithuania / Aušra Maslauskaitė, & Ernesta Platukytė -- Part II. Families' strategies against economic hardships -- Chapter 5. Expectations and reality of support sharing within personal networks in economically hard time: the case of Lithuania / Vida Česnuitytė, & Eric D. Widmer -- Chapter 6. Deprivation and transfers between three generations: a regional analysis across Europe / Christian Deindl, & Martina Brandt -- Chapter 7. Here to stay? Intergenerational spatial proximity in Europe / Bettina Isengard, Ronny König, & Marc Szydlik -- Chapter 8. Below the breadline: families and food in Austerity Britain / Rebecca O'Connell, Abigail Knight, & Julia Brannen -- Chapter 9. Mothering and food acquisition in times of austerity: individual versus collaborative responses in the UK and Italy / Benedetta Cappellini, Vicki Harman, Alessandra Marilli, & Elizabeth Parsons -- Conclusions: Lives of families in face of economic crisis in Europe / Gerardo Meil, & Vida Česnuitytė.
Record Nr. UNINA-9910793838003321
Bingley, England : , : Emerald Publishing, , [2020]
Materiale a stampa
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