Chien-chiang Lee
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Economics
Chien-chiang Lee's Degrees
- Bachelors Economics National Taiwan University
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(Suggest an Edit or Addition)Chien-chiang Lee's Published Works
Published Works
- Energy consumption and GDP in developing countries: A cointegrated panel analysis (2005) (892)
- Tourism development and economic growth: A closer look at panels (2008) (879)
- Energy consumption and economic growth in Asian economies: A more comprehensive analysis using panel data (2008) (723)
- The causality relationship between energy consumption and GDP in G-11 countries revisited (2006) (474)
- STRUCTURAL BREAKS, ENERGY CONSUMPTION, AND ECONOMIC GROWTH REVISITED: EVIDENCE FROM TAIWAN (2005) (432)
- The impact of bank capital on profitability and risk in Asian banking (2013) (381)
- Same Financial Development yet Different Economic Growth--Why? (2006) (349)
- Energy-income causality in OECD countries revisited : The key role of capital stock (2008) (295)
- Energy consumption and GDP revisited: A panel analysis of developed and developing countries (2007) (286)
- How does green finance affect green total factor productivity? Evidence from China (2022) (242)
- Does technological innovation reduce CO2 emissions?Cross-country evidence (2020) (233)
- Impact of the COVID-19 Pandemic on the Crude Oil and Stock Markets in the US: A Time-Varying Analysis (2020) (222)
- FINANCIAL DEVELOPMENT , AND ECONOMIC GROWTH : INTERNATIONAL EVIDENCE (2015) (221)
- The impact of energy consumption on economic growth: Evidence from linear and nonlinear models in Taiwan (2007) (204)
- Income and CO2 emissions: Evidence from panel unit root and cointegration tests (2009) (202)
- Green technology innovation and financial development: Do environmental regulation and innovation output matter? (2021) (200)
- FDI, Financial Development, and Economic Growth: International Evidence (2009) (196)
- Green credit policy, credit allocation efficiency and upgrade of energy-intensive enterprises (2021) (168)
- How does manufacturing agglomeration affect green economic efficiency? (2020) (162)
- Government size and economic growth in Taiwan: A threshold regression approach (2005) (155)
- Structural breaks, tourism development, and economic growth: Evidence from Taiwan (2007) (154)
- The environmental Kuznets curve hypothesis for water pollution: do regions matter? (2010) (153)
- ICT diffusion, financial development, and economic growth: An international cross-country analysis (2021) (145)
- Is energy consumption per capita broken stationary? New evidence from regional-based panels (2007) (140)
- How does the development of the life insurance market affect economic growth? Some international evidence (2012) (135)
- Revisited : Are shocks to energy consumption permanent or temporary? New evidence from a panel SURADF approach (2008) (133)
- New evidence on the convergence of per capita carbon dioxide emissions from panel seemingly unrelated regressions augmented Dickey–Fuller tests (2008) (132)
- The relationship between revenue diversification and bank performance: Do financial structures and financial reforms matter? (2014) (124)
- A Panel Data Analysis of the Demand for Total Energy and Electricity in OECD Countries (2010) (121)
- Oil price shocks, geopolitical risks, and green bond market dynamics (2020) (120)
- The link between life insurance activities and economic growth: Some new evidence (2013) (118)
- Dynamic modelling of energy consumption, capital stock, and real income in G-7 countries (2010) (117)
- Stock prices and the efficient market hypothesis: Evidence from a panel stationary test with structural breaks (2010) (116)
- Non-interest income, profitability, and risk in banking industry: A cross-country analysis (2014) (115)
- Bank reforms, foreign ownership, and financial stability (2014) (115)
- Stochastic convergence of per capita carbon dioxide emissions and multiple structural breaks in OECD countries (2009) (110)
- Nuclear energy consumption, oil prices, and economic growth: Evidence from highly industrialized countries (2011) (108)
- The impact of clean energy consumption on economic growth in China: Is environmental regulation a curse or a blessing? (2022) (99)
- ELECTRICITY DEMAND ELASTICITIES AND TEMPERATURE: EVIDENCE FROM PANEL SMOOTH TRANSITION REGRESSION WITH INSTRUMENTAL VARIABLE APPROACH (2011) (99)
- Regional gap and the trend of green finance development in China (2021) (98)
- Effects of financial development on energy consumption: The role of country risks (2020) (97)
- Did the S.A.R.S. epidemic weaken the integration of Asian stock markets? Evidence from smooth time-varying cointegration analysis (2018) (95)
- The impact of oil price shocks on stock market activities: Asymmetric effect with quantile regression (2011) (94)
- INSURANCE AND REAL OUTPUT: THE KEY ROLE OF BANKING ACTIVITIES (2011) (93)
- Dynamic relationship of oil price shocks and country risks (2017) (92)
- Revisiting the relationship between spot and futures oil prices: Evidence from quantile cointegrating regression (2011) (90)
- Globalization and Economic Growth: A Political Economy Analysis for OECD Countries (2010) (89)
- Inflationary Threshold Effects In The Relationship Between Financial Development And Economic Growth: Evidence From Taiwan And Japan (2005) (89)
- Does insurance activity promote economic growth? Further evidence based on bootstrap panel Granger causality test (2014) (88)
- Dynamic Asian stock market convergence: Evidence from dynamic cointegration analysis among China and ASEAN-5 (2015) (86)
- Energy prices, multiple structural breaks, and efficient market hypothesis (2009) (86)
- Asymmetric effects of investor sentiment on industry stock returns: Panel data evidence (2012) (86)
- The impact of real income on insurance premiums: Evidence from panel data (2012) (84)
- How does fiscal policy uncertainty affect corporate innovation investment? Evidence from China's new energy industry (2022) (83)
- Oil price shocks and Chinese banking performance: Do country risks matter? (2019) (78)
- Financial development, income inequality, and country risk (2019) (75)
- The nexus between defense expenditure and economic growth: New global evidence (2014) (72)
- Does One Size Fit All? A Reexamination of the Environmental Kuznets Curve Using the Dynamic Panel Data Approach (2009) (72)
- Geographic proximity and corporate investment efficiency: Evidence from high-speed rail construction in China (2022) (72)
- Non-Linearity Between Life Insurance and Economic Development: A Revisited Approach (2012) (71)
- The relationship between spot and futures oil prices: Do structural breaks matter? (2014) (71)
- Oil prices, nuclear energy consumption, and economic growth: New evidence using a heterogeneous panel analysis (2011) (69)
- Unemployment hysteresis in OECD countries: Centurial time series evidence with structural breaks (2008) (69)
- Dynamic modeling of regional house price diffusion in Taiwan (2011) (69)
- The impact of COVID-19 on the travel and leisure industry returns: Some international evidence (2020) (69)
- Firms' cash reserve, financial constraint, and geopolitical risk (2021) (67)
- Digitalization and environment: how does ICT affect enterprise environmental performance? (2021) (67)
- Empirical Modelling of Regional House Prices and the Ripple Effect (2011) (67)
- Do CO2 emission levels converge among 21 OECD countries? New evidence from unit root structural break tests (2008) (66)
- Digitalization, competition strategy and corporate innovation: Evidence from Chinese manufacturing listed companies (2022) (66)
- What Makes International Capital Flows Promote Economic Growth? An International Cross-Country Analysis (2010) (63)
- Do oil spot and futures prices move together (2015) (63)
- Does Insurance Matter for Growth: Empirical Evidence from OECD Countries (2011) (63)
- Spatiotemporal evolution of decoupling and driving forces of CO2 emissions on economic growth along the Belt and Road (2020) (62)
- How Does Information and Communication Technology Affect Energy Security? International Evidence (2022) (61)
- Industry herding and market states: evidence from Chinese stock markets (2013) (61)
- The impact of natural disaster on energy consumption: International evidence (2020) (61)
- Financial development, energy consumption and China's economic growth: New evidence from provincial panel data (2020) (61)
- Policy-related risk and corporate financing behavior: Evidence from China’s listed companies (2021) (61)
- Managerial ability and corporate investment opportunity (2018) (59)
- Geopolitical risk and tourism: Evidence from dynamic heterogeneous panel models (2020) (59)
- The impact of the COVID-19 outbreak on Chinese-listed tourism stocks (2021) (58)
- The impact of outward foreign direct investment on green innovation: the threshold effect of environmental regulation (2021) (58)
- The Response of the Stock Market to the Announcement of Global Pandemic (2020) (56)
- The dynamic interactions among the stock, bond and insurance markets (2013) (55)
- Structural characteristics and determinants of an international green technological collaboration network (2021) (55)
- How Does Diversification Impact Bank Stability? The Role of Globalization, Regulations, and Governance Environments (2013) (55)
- Are per capita carbon dioxide emissions converging among industrialized countries? New time series evidence with structural breaks (2008) (55)
- The effects of low-carbon pilot policy on technological innovation: Evidence from prefecture-level data in China (2022) (54)
- The effects of economic policy uncertainty and country governance on banks' liquidity creation: International evidence (2022) (54)
- Impact of Low-carbon City Construction on Financing, Investment, and Total Factor Productivity of Energy-intensive Enterprises (53)
- Economic growth and insurance development: The role of institutional environments (2016) (51)
- How does economic growth target affect corporate environmental investment? Evidence from heavy-polluting industries in China (2022) (51)
- Insurance demand and country risks: A nonlinear panel data analysis (2013) (50)
- Financial liberalization, insurance market, and the likelihood of financial crises (2016) (50)
- Frontier stock market integration and the global financial crisis (2014) (50)
- DO DEFENCE EXPENDITURES SPUR GDP? A PANEL ANALYSIS FROM OECD AND NON‐OECD COUNTRIES (2007) (49)
- The U.S. trade imbalance and real exchange rate: An application of the heterogeneous panel cointegration method (2010) (48)
- Capturing the dynamics of the China crude oil futures: Markov switching, co-movement, and volatility forecasting (2021) (48)
- Energy exports, globalization and economic growth: The case of South Caucasus (2013) (48)
- Comparative Advantage, Endowment Structure, and Trade Imbalances (2021) (47)
- Optimal green technology investment and emission reduction in emissions generating companies under the support of green bond and subsidy (2022) (47)
- The impact of regional banks on environmental pollution: Evidence from China's city commercial banks (2021) (46)
- Modeling OECD energy demand: An international panel smooth transition error-correction model (2013) (46)
- The impact of energy security on income inequality: The key role of economic development (2022) (46)
- Economic policy uncertainty and firm investment: evidence from the U.S. market (2019) (46)
- Assessing the impact of industrial robots on manufacturing energy intensity in 38 countries (2021) (46)
- Does Military Spending Really Matter for Economic Growth in China and G7 Countries: The Roles of Dependency and Heterogeneity (2014) (45)
- How does the use of industrial robots affect the ecological footprint? International evidence (2022) (45)
- Moderating effect of inflation on the finance–growth nexus: insights from West African countries (2019) (45)
- Quantile risk spillovers between energy and agricultural commodity markets: Evidence from pre and during COVID-19 outbreak (2022) (44)
- Peer bank behavior, economic policy uncertainty, and leverage decision of financial institutions☆ (2017) (44)
- Ecological footprint, tourism development, and country risk: International evidence (2021) (42)
- Hysteresis in Unemployment Revisited: Evidence from Panel LM Unit Root Tests with Heterogeneous Structural Breaks (2009) (42)
- Beyond Bank Competition and Profitability: Can Moral Hazard Tell Us More? (2013) (42)
- Effects of trade openness on renewable energy consumption in OECD countries: New insights from panel smooth transition regression modelling (2021) (41)
- The nexus between insurance activity and economic growth: A bootstrap rolling window approach (2016) (41)
- Mitigation pathways impact of climate change and improving sustainable development: The roles of natural resources, income, and CO2 emission (2020) (41)
- Financial inclusion, financial innovation, and firms’ sales growth (2020) (40)
- The impact of COVID‐19 pandemic on hospitality stock returns in China (2021) (40)
- Supply-side structural reform and dynamic capital structure adjustment: Evidence from Chinese-listed firms (2021) (39)
- Country governance, corruption, and the likelihood of firms’ innovation (2020) (39)
- Globalization, Real Output and Multiple Structural Breaks (2011) (38)
- A green path towards sustainable development: Optimal behavior of the duopoly game model with carbon neutrality instruments (2022) (38)
- Broadband infrastructure and export growth (2022) (37)
- How does digital inclusive finance affect carbon intensity? (2022) (37)
- The Puzzle Between Banking Competition and Profitability can be Solved: International Evidence from Bank-Level Data (2010) (37)
- Insurance activities, globalization, and economic growth: New methods, new evidence (2017) (36)
- COVID-19 and instability of stock market performance: evidence from the U.S. (2021) (36)
- Impact of environmental labeling certification on firm performance: Empirical evidence from China (2020) (36)
- Convergence of the world’s energy use (2020) (36)
- Do country risk and financial uncertainty matter for energy commodity futures? (2018) (35)
- Financial aid and financial inclusion: Does risk uncertainty matter? (2022) (35)
- On the Impact of Public Debt on Economic Growth: Does Country Risk Matter? (2017) (35)
- Environmental regulation, innovation capability, and green total factor productivity: New evidence from China (2021) (34)
- Globalization, political institutions, financial liberalization, and performance of the insurance industry (2016) (34)
- CO2 emissions, income inequality, and country risk: some international evidence (2020) (33)
- Stability of money demand function revisited in China (2008) (32)
- INCOME INEQUALITY, GLOBALIZATION, AND COUNTRY RISK: A CROSS-COUNTRY ANALYSIS (2019) (32)
- What is the rationale behind China's infrastructure investment under the Belt and Road Initiative (2021) (32)
- Roles played by financial development in economic growth: application of the flexible regression model (2011) (32)
- The impact of FDI on income inequality: Evidence from the perspective of financial development (2020) (31)
- The impact of government ideology on energy efficiency: evidence from panel data (2015) (31)
- Do Country Risks Matter for Tourism Development? International Evidence (2020) (31)
- Does industrial robot application promote green technology innovation in the manufacturing industry? (2022) (30)
- Money demand function versus monetary integration: Revisiting panel cointegration among GCC countries (2008) (30)
- Asymmetric dynamics of insurance premium: the impacts of output and economic policy uncertainty (2018) (30)
- Insurance and economic policy uncertainty (2020) (30)
- Exchange rate fluctuations and interest rate policy (2020) (29)
- The impact of renewable energy technology innovation on energy poverty: Does climate risk matter? (2022) (29)
- Do natural disasters and geopolitical risks matter for cross-border country exchange-traded fund returns? (2020) (29)
- Financial innovation and bank growth: The role of institutional environments (2020) (29)
- Impact of fiscal decentralization on firm environmental performance: evidence from a county-level fiscal reform in China (2020) (28)
- The dimension of green economy: Culture viewpoint (2022) (27)
- The impact of information communication technology on energy demand: Some international evidence (2022) (27)
- Dynamic spillovers and connectedness between oil returns and policy uncertainty (2020) (27)
- The optimal behavior of renewable energy resources and government's energy consumption subsidy design from the perspective of green technology implementation (2022) (26)
- The Impact of Country Risk on Income Inequality: A Multilevel Analysis (2018) (26)
- Insurance activity, real output, and geopolitical risk: Fresh evidence from BRICS (2020) (25)
- Trading Volume and Realized Volatility Forecasting: Evidence from the China Stock Market (2022) (25)
- Dynamic relationships between industry returns and stock market returns (2013) (25)
- The impact of Sino–US trade friction on the performance of China's textile and apparel industry (2022) (25)
- Macroeconomic outcomes of OPEC and non-OPEC oil supply shocks in the euro area (2022) (24)
- Dynamic modelling of real estate investment trusts and stock markets (2012) (24)
- Gasoline demand elasticities in the world’s energy gluttons: a time-varying coefficient approach (2021) (23)
- The impact of COVID-19 on freight transport: Evidence from China (2020) (23)
- Digital Financial Inclusion and Carbon Neutrality: Evidence from Non-Linear Analysis (2022) (23)
- How Does Bank Capital Affect Bank Profitability and Risk? Evidence from China's WTO Accession (2015) (23)
- TESTING FOR THE EFFICIENT MARKET HYPOTHESIS IN STOCK PRICES: INTERNATIONAL EVIDENCE FROM NONLINEAR HETEROGENEOUS PANELS (2013) (23)
- Economic Complexity and Income Inequality: Does Country Risk Matter? (2020) (23)
- Why did some firms perform better in the global financial crisis? (2017) (23)
- Ecological footprint, human capital, and urbanization (2021) (23)
- Natural resources and green economic growth: An analysis based on heterogeneous growth paths (2022) (23)
- Revisiting the Defense–Growth nexus in European countries (2015) (22)
- THE LONG‐RUN RELATIONSHIP BETWEEN DEFENCE EXPENDITURES AND GDP IN TAIWAN (2006) (22)
- Growth Sources of Green Economy and Energy Consumption in China: New Evidence Accounting for Heterogeneous Regimes (2020) (22)
- The impacts of ICTs on tourism development: International evidence based on a panel quantile approach (2021) (21)
- Globalization, Economic Growth and Institutional Development in China (2015) (21)
- Does globalization promote real output? Evidence from quantile cointegration regression (2015) (21)
- Insurance activities and banking credit causal nexus: evidence from China (2014) (21)
- The synergistic effect of insurance and banking sector activities on economic growth in Africa (2018) (20)
- The Path of Financial Risk Spillover in the Stock Market Based on the R-Vine-Copula Model (2022) (20)
- Social security expenditure and GDP in OECD countries: A cointegrated panel analysis (2006) (20)
- China's progress toward sustainable development in pursuit of carbon neutrality: Regional differences and dynamic evolution (2023) (20)
- Trend stationary of inflation rates: evidence from LM unit root testing with a long span of historical data (2008) (19)
- Is gold a long-run hedge, diversifier, or safe haven for oil? Empirical evidence based on DCC-MIDAS (2022) (19)
- Globalisation and Convergence of International Life Insurance Markets (2012) (19)
- Testing the persistence of shocks on renewable energy consumption: Evidence from a quantile unit-root test with smooth breaks (2021) (19)
- The Effect of Globalization and Political Party on Economic Growth (2011) (19)
- Are geopolitical threats powerful enough to predict global oil price volatility? (2021) (19)
- The internal and external effects of air pollution on innovation in China (2020) (18)
- Will the energy price bubble burst (2018) (18)
- Bank Liquidity Creation, Regulations, and Credit Risk (2020) (17)
- How Does Foreign Bank Ownership in the Banking Sector Affect Domestic Bank Behaviour? A Dynamic Panel Data Analysis (2012) (17)
- Social security expenditures and economic growth: A heterogeneous panel application (2006) (17)
- The asymmetric effect of agriculturalization toward climate neutrality targets. (2022) (17)
- NON‐LINEARITY IN THE DEFENCE EXPENDITURE – ECONOMIC GROWTH RELATIONSHIP IN TAIWAN (2007) (17)
- Financial policy and insurance development: Do financial reforms matter and how? (2015) (16)
- Endogenous structural breaks, public investment in agriculture and agricultural land productivity in Taiwan (2009) (16)
- An empirical study on the role of trading volume and data frequency in volatility forecasting (2020) (16)
- Nonlinear adjustments in deviations from the law of one price for wholesale hog prices (2008) (16)
- Foreign bank lending during a crisis: The impact of financial regulations (2020) (16)
- The criticality of tourism development, economic complexity, and country security on ecological footprint (2021) (16)
- Economic growth, financial market, and twin crises (2018) (15)
- The impact of real estate investment on air quality: evidence from China (2020) (15)
- Dynamic linkage between oil prices and exchange rates: new global evidence (2020) (15)
- Investigating the stationarity of insurance premiums: international evidence (2013) (15)
- Tourism development and happiness: International evidence (2020) (15)
- The Dynamic Correlation between China’s Policy Uncertainty and the Crude Oil Market: A Time-varying Analysis (2020) (14)
- The relationship between cash flow uncertainty and extreme risk: International evidence (2023) (14)
- Is Rate of Stock Returns a Leading Indicator of Output Growth? In the Case of Four East Asian Countries (2006) (14)
- Carbon neutral sustainability and green development during energy consumption (2022) (14)
- Ripple effect and regional house prices dynamics in China (2016) (14)
- A green path towards sustainable development: The impact of low-carbon city pilot on energy transition (2022) (13)
- Economic policy uncertainty and firm’s cash holding in China: The key role of asset reversibility (2021) (13)
- Impacts of export diversification on energy intensity, renewable energy, and waste energy in 121 countries: Do environmental regulations matter? (2022) (13)
- Mean reversion of inflation rates in 19 OECD countries: Evidence from panel Lm unit root tests with structural breaks (2007) (13)
- Asymmetric impacts of public service “transportation” on the environmental pollution in China (2021) (13)
- Does technology advancement reduce aggregate carbon dioxide emissions? Evidence from 66 countries with panel threshold regression model (2021) (13)
- Energy intensity of manufacturing enterprises under competitive pressure from the informal sector: Evidence from developing and emerging countries (2021) (12)
- Can digital finance narrow the regional disparities in the quality of economic growth? Evidence from China (2022) (12)
- Toward a Theory of Internal Governance Structure of China’s large SOEs (2019) (12)
- Asymmetric dynamics in REIT prices: Further evidence based on quantile regression analysis (2014) (12)
- Does regional integration improve economic resilience? Evidence from urban agglomerations in China (2022) (11)
- Urban broadband infrastructure and green total-factor energy efficiency in China (2022) (11)
- Insurance activity and economic performance: Fresh evidence from asymmetric panel causality tests (2018) (11)
- Renminbi exchange rate assessment and competitors' exports: New perspective (2018) (11)
- Climate risk and bank liquidity creation: International evidence (2022) (11)
- Investor attention, ETF returns, and country-specific factors (2021) (11)
- Investor sentiment and country exchange traded funds: Does economic freedom matter? (2017) (11)
- Globalization and insurance activity: Evidence on the industrial and emerging countries (2016) (11)
- Can digital economy alleviate CO 2 emissions in the transport sector? Evidence from provincial panel data in China (2022) (11)
- The effects of foreign ownership on competition in the banking industry: The key role of financial reforms (2016) (11)
- Assessing the impacts of formal and informal regulations on ecological footprint (2022) (11)
- Asymmetric Information, Government Fiscal Policies, and Financial Development (2010) (10)
- The role of high-frequency data in volatility forecasting: evidence from the China stock market (2021) (10)
- GDP volatility implication of tourism volatility in South Africa: A time-varying approach (2020) (10)
- Do financial inclusion and R&D matter? Exploring the effect of uncertainty on economic performance (2021) (10)
- Insurance development, banking activities, and regional output: evidence from China (2017) (10)
- Towards a dynamic model of the industrial upgrading with global value chains (2020) (10)
- A Re-examination of German Government Approval and Economic Performance: Is There a Stable Relationship between Them? (2010) (10)
- Foreign direct investment, income inequality and country risk (2021) (10)
- A Dynamic Analysis of Exchange Rate Exposure: The Impact of China's Renminbi (2016) (10)
- Systemic Risk of China’s Financial Industry during the Spread of the COVID-19 Epidemic and the Breakdown of Crude Oil Negotiation (2021) (10)
- Stability of long-run growth in East Asian countries: New evidence from panel stationarity test with structural breaks (2015) (10)
- Volatility forecast of country ETF: The sequential information arrival hypothesis (2015) (9)
- Growth path heterogeneity across provincial economies in China: the role of geography versus institutions (2020) (9)
- The impact of American depositary receipts on the Japanese index: Do industry effect and size effect matter? (2011) (9)
- Optimal behavior of environmental regulations to reduce carbon emissions: A simulation-based dual green gaming model (2022) (9)
- Systemic risk of Chinese financial institutions and asset price bubbles (2023) (9)
- Insurance-growth nexus in Africa (2020) (9)
- Can green credit policies improve corporate green production efficiency? (2023) (9)
- A revisit to the nonlinear stationarity of real exchange rates (2008) (8)
- Does natural resources matter for sustainable energy development in China: The role of technological progress (2022) (8)
- The Synergistic Effects Between Insurance and Credit Markets on Economic Growth: Evidence from China (2016) (8)
- The effects of investor attention and policy uncertainties on cross-border country exchange-traded fund returns (2021) (8)
- Further evidence on property–casualty insurance premiums: Do multiple breaks and country characteristics matter? (2012) (8)
- Bilateral Rent‐Seeking and Growth of FDI Inflow in China: Theory and Evidence (2019) (8)
- A regime-switching real-time copula GARCH model for optimal futures hedging (2022) (8)
- Digital financial inclusion and poverty alleviation: Evidence from the sustainable development of China (2022) (8)
- Happiness sentiments and the prediction of cross-border country exchange-traded fund returns (2020) (8)
- Spatial analysis of liquidity risk in China (2019) (8)
- Toward an empirical investigation of the long-term debt and financing deficit nexus: evidence from Chinese-listed firms (2021) (7)
- How does green finance drive the decarbonization of the economy? Empirical evidence from China (2023) (7)
- An Empirical Analysis of Non-Life Insurance Consumption Stationarity (2010) (7)
- International spillovers of U.S. monetary uncertainty and equity market volatility to China’s stock markets (2022) (7)
- An asymmetric examination of the environmental effect of tourism in China (2021) (7)
- Is Gold a Long-Run Hedge, Diversifier, or Safe Haven for Oil? Empirical Evidence Based on Dcc-Midas (2022) (7)
- The Demand for Money in China: A Reassessment Using the Bounds Testing Approach (2012) (7)
- Empirical Investigation of Herding Behavior in East Asian Stock Markets Toward the U.S. Market (2015) (7)
- Crossing the rivers by feeling the stones: The effect of China's green credit policy on manufacturing firms' carbon emission intensity (2022) (7)
- Bank Reforms and Competition: New Global Evidence (2014) (7)
- A Revisit to the Stationarity of OECD Inflation: Evidence from Panel Unit�?Root Tests and the Covariate Point Optimal Test (2012) (7)
- Income Convergence in African Countries: Evidence from a Stationary Test With Multiple Structural Breaks (2014) (7)
- Industry co-movements of American depository receipts: Evidences from the copula approaches (2015) (7)
- U.S. leveraged loan and debt markets: Implications for optimal portfolio and hedging (2023) (7)
- How does export diversification affect income inequality? International evidence (2022) (7)
- The impact of military technology transfer on economic growth: international evidence (2012) (7)
- Industry co-movement and cross-listing: Do home country factors matter? (2014) (6)
- Testing linearity in a cointegrating STR model for the money demand function: International evidence from G-7 countries (2007) (6)
- Global convergence of inflation rates (2021) (6)
- Housing price–volume correlations and boom–bust cycles (2017) (6)
- Does candidates' advertising spending help winning? (2009) (6)
- Financial systems, regulatory quality, and economic growth (2020) (6)
- Green recovery through financial inclusion of mobile payment: A study of low- and middle-income Asian countries (2022) (6)
- Impact of Digitalization and Environmental Regulation on Total Factor Productivity (2022) (6)
- Signaling effect of cash holdings adjustment before bond issuance (2023) (6)
- Empirical research of herding behavior in the Pacific Basin stock markets: Evidence from the U.S. stock market rise (drop) in succession (2012) (6)
- Does higher government debt link to higher social expenditure? New method, new evidence (2016) (6)
- Measurement and prediction of systemic risk in China’s banking industry (2023) (6)
- The going-public decision and rent-seeking activities: Evidence from Chinese private companies (2020) (6)
- Profit Sharing, Industrial Upgrading and Global Supply Chains: Theory and Evidence (2016) (6)
- The Effect of Government Ideology on an Exchange Rate Regime: Some International Evidence (2017) (6)
- Is the secularization hypothesis valid? A panel data assessment for Taiwan (2011) (6)
- An assessment of socioeconomic indicators and energy consumption by considering green financing (2023) (5)
- Wealth effects on the housing markets: Do market liquidity and market states matter? (2013) (5)
- Do national cultures matter for tourism development? Some international evidence (2022) (5)
- Long-run money demand in Taiwan revisited: evidence from a cointegrating STR approach (2008) (5)
- Reaping digital dividends: Digital inclusive finance and high-quality development of enterprises in China (2022) (5)
- Credit, Equity Conversion and Housing Endowment: Analysis of Reverse Mortgage Markets (2015) (5)
- The relationship between insurance and banking sectors: does financial structure matter? (2019) (5)
- Taxation of Wealthy Individuals, Inequality Governance and Corporate Social Responsibility (2019) (5)
- Medical Personnel and Life Expectancy: New Evidence from Taiwan (2016) (5)
- A Panel Cointegration Analysis for Macroeconomic Determinants of International Housing Market (2014) (5)
- Determinants of ADR Returns before and after Domestic Stock Seasoned Equity Offerings: Evidence from Asian and Latin American Emerging Markets (2011) (4)
- Optimal portfolio diversification with a multi-chain regime-switching spillover GARCH model (2023) (4)
- THE ECONOMIC VOTING HYPOTHESIS IN THE PRESENCE OF THRESHOLD EFFECTS: EVIDENCE FROM ASYMMETRIC MODELING (2013) (4)
- A New Unit Root Test against Asymmetric ESTAR Nonlinearity with Smooth Breaks (2018) (4)
- Bank Income Diversification, Asset Correlation and Systemic Risk (2020) (4)
- Financial crises, globalization, and insurer performance: Some international evidence (2019) (4)
- The Impact of Diversification on Performance in the Insurance Industry: The Roles of Globalisation, Financial Reforms and Global Crisis (2015) (4)
- Short Sales and Corporate Investment Efficiency: Evidence from China (2021) (4)
- The asymmetric effect of temperature, exchange rate, metals, and investor sentiments on solar stock price performance in China: evidence from QARDL approach (2022) (4)
- How does anti-corruption policy affect the sensitivity of green innovation to executive incentives? (2022) (4)
- The impact of informal care from children to their elderly parents on self-employment? Evidence from China (2022) (4)
- The Impact of Green Development on Modernization in China: Evidence from 108 Cities in the Yangtze River Economic Belt (2022) (3)
- How Does the Use of Industrial Robots Affect the Ecological Footprint?International Evidence (2022) (3)
- Gender diversity, sustainability reporting, CEO overconfidence, and efficient risk‐taking: Evidence from South Asian agri‐food industry (2022) (3)
- Non-Linearity Between Life Insurance and Economic Development: A Revisited Approach (2011) (3)
- Corporate investment and the dilemma of the monetary policy: Evidence from China (2023) (3)
- Family Management and Corporate Bond Spreads: Do Foreign and Government Ownerships Matter? (2020) (3)
- Does economic complexity influence environmental performance? Empirical evidence from OECD countries (2022) (3)
- Partisanship and international trade: Some international evidence (2012) (3)
- Revisiting the demand for money function: evidence from the random coefficients approach (2013) (3)
- PERFORMANCE MEASUREMENT IN PUBLIC SPENDING: EVIDENCE FROM A NON-PARAMETRIC APPROACH (2014) (3)
- A Study on the Main Determination of Mortgage Risk: Evidence from Reverse Mortgage Markets (2015) (3)
- The impact of central bank digital currency variation on firm's implied volatility (2023) (3)
- Application of gravity model to explain the effects of diplomatic relations on China’s service trade (2020) (3)
- Monetary Policy and the Diversification–Profitability Linkage in Banking: Evidences from Emerging Market Economies (2015) (3)
- How does information and communication technology affect renewable energy technology innovation? International evidence (2022) (3)
- US macroeconomic conditions and asymmetric adjustment in Presidential approval (2010) (3)
- The Impact of Government Subsidies and Retailer Contracts on Product Recovery (2021) (3)
- Setting margins for margin buying in China: balancing the trade-off between liquidity and prudence (2020) (2)
- Synergy of pollution control and carbon reduction in China: Spatial–temporal characteristics, regional differences, and convergence (2023) (2)
- Ownership Structure, Diversification, and Bank Performance: International Evidence (2022) (2)
- Catching-up process in the transition countries (2018) (2)
- Multivariate Panel Cointegration Models and Money Demand Function (2006) (2)
- Member states’ pact and industry co-movements in the BRICS markets (2017) (2)
- Deforestation , Environmental Kuznets Curve , and Threshold Effects : International Evidence (2009) (2)
- Liquidation Threat: Behavior of CEO Entrenchment (2022) (2)
- Does green finance promote renewable energy? Evidence from China (2023) (2)
- Exploring the sources of inflation dynamics: New evidence from China (2021) (2)
- Asymmetric effects and volatility transmission from metals markets to solar energy stocks: Evidence from DCC, ADCC, and quantile regression approach (2023) (2)
- Analyzing the hysteresis properties and growth stability of renewable energy production of the U.S (2021) (2)
- Income Convergence toward USA: New Evidences for Latin and South American Countries (2016) (2)
- FACTORS AFFECTING TAX EVASION: DO INTEREST RATE AND REGIONAL EFFECTS MATTER? (2016) (2)
- Does Religion Belief Matter to Self-Employment of Rural Elderly? Evidence from China (2022) (2)
- Are Fruit and Vegetable Prices Non-linear Stationary? Evidence from Smooth Transition Autoregressive Models (2011) (2)
- Reserve Requirement Policy, Bond Market, and Transmission Effect (2016) (2)
- Globalisation and Convergence of International Life Insurance Markets (2012) (2)
- The impact of air quality on international tourism arrivals: a global panel data analysis (2022) (2)
- Editorial: Energy Economics and Energy Finance in Developing and Emerging Countries (2022) (2)
- How do energy price hikes affect exchange rates during the war in Ukraine? (2022) (2)
- FINANCIALIZATION AND STAGNANT CAPITAL ACCUMULATION IN CHINA (2018) (2)
- The Dimension of Bank Liquidity Creation: Culture Viewpoint (2022) (2)
- Greening South Asia with Financial Liberalization, Human Capital, and Militarization: Evidence from the CS-ARDL Approach (2022) (2)
- The synergistic effect of green trade and economic complexity on sustainable environment: A new perspective on the economic and ecological components of sustainable development (2022) (2)
- Arbitrage, Covered Interest Parity and Cointegration Analysis on the NTD/USD Forex Market Revisited (2017) (2)
- What does export diversification do for energy demand? Evidence from the Global North (2022) (2)
- Executive Compensation of SOEs and Corporate Social Responsibility: Theory and Evidence from China (2020) (1)
- Insurance-growth nexus in Africa (2019) (1)
- Dynamic spillover effects among international crude oil markets from the time-frequency perspective (2023) (1)
- The impact of peer effects and economic policy-related uncertainty on U.S. life insurers' investment decisions (2020) (1)
- How Does Industrial Digitalization Affect Enterprise Environmental Performance? (2021) (1)
- Green development, climate risks, and cash flow: International evidence (2023) (1)
- Bank competition and firms’ dependence: evidence from firms’ role (2020) (1)
- Do firm characteristics affect debt capacity? Evidence in CEO succession (2021) (1)
- Housing price–volume correlations and boom–bust cycles (2016) (1)
- The Asymmetric Effect of CEO Power on Energy Firms’ Strategic Decisions (2022) (1)
- Arbitrage, Covered Interest Parity and Cointegration Analysis on the New Taiwan Dollar/US Dollar FOREX Market Revisited (2016) (1)
- Climate Risk, Economic Stability, and Tourism: A Cross-Sectionally Dependent Heterogeneous Panel Causality Analysis (2021) (1)
- The impact of digitalization on green economic efficiency: Empirical evidence from city-level panel data in China (2022) (1)
- EXPORT DIVERSIFICATION AND THE GREEN ECONOMY: THE KEY ROLE OF ECONOMIC RISK (2023) (1)
- How does central bank transparency affect systemic risk? Evidence from developed and developing countries (2022) (1)
- Globalization, government regulation, and country risk: International evidence (2022) (1)
- Bank provisioning, business cycles and bank regulations: a comprehensive analysis using panel data (2017) (1)
- Toward an Empirical Investigation of the Pecking Order Theory: Evidence from Chinese Listed Firms (2019) (1)
- Executive Compensation and Corporate Social Responsibility: Evidence from Chinese-listed SOEs (2020) (1)
- Inward FDI, Spillover Effect and Financial Constraints -Theory and Evidence from China (2019) (0)
- The effect of cultural distance on rural-to-urban migrants’ self-employment in China: evidence from eight industries (2022) (0)
- Does Non-Linear Pricing Work? - Evidence from Residential Water Consumption in GuangDong Province (2017) (0)
- Catching-up process in the transition countries (2017) (0)
- Knowledge Transfer of China’s HSR Standards “Going Global” Based on System Dynamics (2023) (0)
- COVID-19 and instability of stock market performance: evidence from the U.S. (2021) (0)
- Medical Personnel and Life Expectancy: New Evidence from Taiwan (2015) (0)
- Beyond Communication: The Cultural Effect of Dialect Competence on Urban Migration Entrepreneurship in China (2018) (0)
- The Impact of Country Risk on Income Inequality: A Multilevel Analysis (2016) (0)
- Corporate governance and systemic risk: Evidence from Chinese-listed banks (2023) (0)
- THE EFFECTS OF U.S. UNCONVENTIONAL MONETARY POLICY ON ASIAN STOCK MARKETS (2017) (0)
- Global Value Chain Embeddedness and Chinese Firms’ Cross-Border Mergers and Acquisitions (2020) (0)
- Optimal Margin Levels for Margin Buying in China: An Extreme Value Method (2021) (0)
- Managerial ability and R&D investment: do CEOs’ and firms’ characteristics matter? (2023) (0)
- A Study of the Optimal Asset Allocation as Raising Taxes on the Rich (2015) (0)
- Can the Social Network Hinder the Impact of COVID-19 on Economic Uncertainty? New Evidence from China (2023) (0)
- Referees 2011 (2011) (0)
- Growth decomposition bias when accounting for heterogeneous regimes: Evidence from China (2020) (0)
- Risk Contagion of Bank-firm Credit Network: Evidence from China (2020) (0)
- Systemic risk in China new energy stock markets (2022) (0)
- Equilibrium in platform service supply chain network with quality and innovation considering digital economy (2023) (0)
- Measuring the Long-Run Correlations Among Chinese and ASEAN Countries' Currencies and the Impact of RMB Internationalization on the Correlations (2023) (0)
- Quantile Risk Spillovers and Interrelatedness between Energy and Agricultural Commodity Markets Using Realized Variance (2022) (0)
- Financial Depth, Crisis Intervention, and Economic Growth (2017) (0)
- The relationship between insurance and banking sectors: does financial structure matter? (2019) (0)
- Toward a Simple Model of Micro-Mechanism of Industrial Upgrading under Sequential Production (2019) (0)
- Growth path heterogeneity across provincial economies in China: the role of geography versus institutions (2019) (0)
- Impact of Broadband Infrastructure on Green Total Factor Energy Efficiency: Evidence from Prefecture-Level Data in China (2022) (0)
- FDI Inflow and Bilateral Political Relationship -Theory and Evidence (2019) (0)
- The Impact of Commercial Bank Branch Expansion on Energy Efficiency: Micro Evidence from China (2022) (0)
- Insurance development, banking activities, and regional output: evidence from China (2016) (0)
- The Linkages among Insurance, Banking Credit and Stock Markets in G7 Countries - Evidences from Long - and Short - run Perspectives - (2016) (0)
- Asymmetric dynamics of insurance premium: the impacts of output and economic policy uncertainty (2018) (0)
- The impact of government ideology on energy efficiency: evidence from panel data (2015) (0)
- Unlocking the myths of size expansion in China's large state‐owned enterprises: Theory and evidence (2022) (0)
- Preventive activity and national health insurance among Taiwan’s elderly people (2020) (0)
- Analyzing the Nexus of Green Finance, Clean Energy, Green Technology and Environmental Responsibility: Evidence from the Dcc-Midas (2022) (0)
- Reopening the Convergence Debate when Sharp Breaks and Smooth Shifts Wed, 1870-2010 (2016) (0)
- A Study on the Relationship between Fiscal Residuum and Population Migration in Taiwan Area (2015) (0)
- The impact of peer effects and economic policy-related uncertainty on U.S. life insurers' investment decisions (2020) (0)
- Study of Opto-electronic and Physical Properties of Novel Flexible Substrate Material (2009) (0)
- Multidimensional cultural distance and self-employment of internal migrants in China (2023) (0)
- Economic Policy Uncertainty and Insurance (2017) (0)
- Risk contagion of bank-firm loan network: evidence from China (2023) (0)
- The Optimal Luxury Tax Policy and Its Exit Mechanism (2017) (0)
- House price diffusion and cross-border house price dynamics in Asia (2012) (0)
- The effect of energy price shocks on commodity currencies during the war in Ukraine (2023) (0)
- Capital Mobility in Savings and Investment across China and the ASEAN-5: Evidence from Recursive Cointegration (2016) (0)
- WHAT M AKES I NTERNATIONAL CAPITAL F LOWS P ROMOTE E C ONOMIC GRO W TH? A N I NTER N A T IONAL CROSS-COUNTRY (2010) (0)
- Moderating effect of inflation on the finance–growth nexus: insights from West African countries (2018) (0)
- Towards net-zero emissions: Can green bond policy promote green innovation and green space? (2023) (0)
- Social Welfare Expenditure, Human Capital, and Economic Growth: Evidence from Taiwan (2007) (0)
- Impacts of Energy Security on Economic Development: Evidence From China (2022) (0)
- Bilateral Rent-Seeking and Growth of FDI Inflow in China: Theory and Evidence (2019) (0)
- The Non-linear Dynamic Relationship between Exchange Rates and Macroeconomic Fundamentals in G-7 Countries (2010) (0)
- Quantitative Assessment of Socioeconomic Indicators and Energy Consumption on Green Financing Among Divergent Communities: Evidence from Pakistan (2022) (0)
- The Role of the Party Committee Within Large State-Owned Enterprises in China: Theory and Evidence (2019) (0)
- The Labour Participation Decision of the Rural Left-Behind Elderly from a Cultural Perspective (2020) (0)
- A dynamic relationship between savings and investment: The tales of China and the ASEAN-5 (2015) (0)
- Dynamic linkage between oil prices and exchange rates: new global evidence (2020) (0)
- Unlocking the Myths of Asset Size Expansion of China's Large SOEs - Theory and Evidence (2019) (0)
- Partial Privatization, Capital Allocation Distortion and the Large SOE Reforms in China-Theory and Evidence (2018) (0)
- Foreign Direct Investment Inflow and Bilateral Political Relationships (2023) (0)
- Toward a Theory of Rent Seeking and Structural Reforms (2018) (0)
- Optimal Green Technology Investment and Emission Reduction in Egcs Under the Support of Green Bond and Subsidy (2022) (0)
- Toward a Simple Theory of Costs and Benefits of Internal Bureaucratic Control over Large SOEs in China (2019) (0)
- The Impact of Diversification on Performance in the Insurance Industry: The Roles of Globalisation, Financial Reforms and Global Crisis (2015) (0)
- Do Asymmetric Causal Relationships Exist between Macroeconomic Variables and Housing Returns in Taiwan (2012) (0)
- Beyond Bank Competition and Profitability: Can Moral Hazard Tell Us More? (2012) (0)
- Comparative Advantage, Endowment Structure and Trade Imbalances - Theory and Evidence (2019) (0)
- Testing explosive behavior of public debt in OECD countries (2018) (0)
- The role of GICT and environmental regulation in affecting ecological footprint (2023) (0)
- Input-Output Efficiency of China's Digital Economy: Statistical Measures, Regional Differences, and Dynamic Evolution (2022) (0)
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