quantitative finance journal
Frequency :- Bi-Annual. This selection contains titles in Quantitative Finance, Within Keywords: China’s uneven regional development; China’s banking industry; Financial industry agglomeration; Spatial econometric analysis; Cost efficiency; Profit efficiency. Empirical results indicate that there is a strong positive relationship between tax revenue and main sectors of the economy namely, agriculture, industrial, and services sectors in both short-run and the long run. It would involve a healthy social balance between rich and poor and between nations. Quantitative Finance Journal Impact Quartile: Q1. Keywords: Tax Revenue, Economic Growth, Nigeria, Bounds Test, Structural Break. Inflation targeting has reduced exchange rate pass-through to consumer prices since 1993.Hence, exchange rate pass-through to Australia’s consumer price is partial and relatively small. Mathematical Finance will publish a special issue with contributions presented at the. Inevitably, the broadening and strengthening of the financial structure havepermitted wider and more fruitful financing to materialize. The journal provides an interdisciplinary forum for presenting both theoretical and empirical approaches and offers rapid publication of original new work with high standards of quality. Smith was the protagonist of capitalism and free trade- policy, Friedrich List the pre-thinker or mentor of social market economy and temporary protectionism and Karl Marx the intellectual prophet of socialism and state economy. The effect was particularly significant for Chongqing and nearby western region as well as for Beijing and the nearby Bohai Economic Rim. The Journal welcomes contributions that present findings based upon a thorough grounding in economic theory, as expressed in traditional macroeconomic theory, microeconomic theory, the theory of customs unions, economic growth models, economic development models, the analysis of current and historical macroeconomic events, such as the Great Depression in the United States, or the consequences of the Brexit referendum.
The conventional and structural breakpoint unit root tests indicated that the study variables are fractionally integrated.The study employs the ARDL bounds testing approach to examine the long and short run relationship between the variables of interest. GDD, PED and FCS all exerted a significant negative effect on growth both in the short and long run period. This study would provide broad guidelines to investors to understand and grasp the nitty-gritty of the market in their pursuit to maximize profit by minimizing risks. The journal provides an interdisciplinary forum for presenting both theoretical and empirical approaches and offers rapid publication of original new work with high standards of quality. Not every article in a journal is considered primary research and therefore "citable", this chart shows the ratio of a journal's articles including substantial research (research articles, conference papers and reviews) in three year windows vs. those documents other than research articles, reviews and conference papers. Journal of Quantitative Finance and Economics , 2020, 2(1), 43-63, PDF Full-text Received:25/11/2019, Revised: 05/01/2020, Accepted : 25/01/2020, Publication: 20/02/2020 . Regarding the banks’ profit efficiency, before the financial crisis, regions with frequent economic and trade activities (e.g., Sichuan and Chongqing in west region and the eastern coastal region) had a higher financial industry agglomeration that resulted in superior profit efficiency. * Required. The results show that return series does not have long memory, while the volatility series have long memory. The autocorrelation function of volatility decays hyperbolically for lags 1 through 200. The study investigates the impact of tax revenue shocks on sustainable economic growth in Nigeria during the period 1980-2017 making use of annual time series data. In this paper we introduced an approach for estimation of optimal performance of products. However, following the financial crisis, market size became essential for improving the banks’ cost efficiency; such a phenomenon was significantly prominent in Inner Mongolia, Hebei, Shanxi, and Gansu, four provinces with the degree of industrial agglomeration higher than their financial industry agglomeration.
ISSN :- 2582-1237 Quantitative Finance welcomes original research articles that reflect the dynamism of this area.
The analysis of this performance with the aim of formulating recommendations to reduce its cost. Volume 55 July - October 2020.
The study coversthe period from January 02, 1985 to September 28, 2018, consisting of 8803 observations. In addition, more money supply, a higher crude oil price, a higher U.S. CPI, and a higher expected price will cause Australia’s CPI to rise. Keywords: Financial market, Behavioral aspects, Risks in market offerings. Evolution of the total number of citations and journal's self-citations received by a journal's published documents during the three previous years. Abstract: The study examined the dynamic effect of pollutant emissions and institutions on economic growth in Nigeria.
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