Items where Author is "Moore, W"
Journal article
HARRISON, B. and MOORE, W., 2012. Forecasting stock market volatility in central and Eastern European countries. Journal of Forecasting, 31 (6), pp. 490-503. ISSN 0277-6693
MOORE, W. and MORRIS, D., 2012. Product-level estimation of import demand: simulating the effects of tariff harmonisation. The Journal of International Trade & Economic Development, 21 (5), pp. 655-676. ISSN 0963-8199
HARRISON, B. and MOORE, W., 2012. Stock market efficiency, nonlineraity, thin trading and asymmetric information in MENA stock markets. Economic Issues, 17 (1), pp. 77-93.
HARRISON, B. and MOORE, W., 2011. Nonlinearities in Central and Eastern European stock markets. Applied Economics Letters, 18 (14), pp. 1363-1366.
HARRISON, B. and MOORE, W., 2010. Stock market co-movement in the Caribbean. Economic Issues, 15 (1), pp. 1-15.
HARRISON, B. and MOORE, W., 2009. Spillover effects from London and Frankfurt to Central and Eastern European stock markets. Applied Financial Economics, 19 (18), pp. 1509-1521.
HARRISON, B. and MOORE, W., 2009. Stock market co-movement in the European Union and transition countries. Financial Studies, 3, pp. 124-151.
Chapter in book
CRAIGWELL, R., MOORE, W., MORRIS, D. and WORRELL, D., 2011. Price rigidity: a survey of evidence from micro-level data. In: R. CRAIGWELL, W. MOORE and D. WORRELL, eds., Price formation and inflation dynamics in the Caribbean. St. Augustine, Republic of Trinidad & Tobago: Caribbean Centre for Money & Finance (CCMF), The University of the West Indies, pp. 1-20. ISBN 9789766202774
HARRISON, B. and MOORE, W., 2010. Non-linear stock market co-movement in Central and East European countries. In: R. MATOUSEK, ed., Money, banking and financial markets in Central and Eastern Europe: 20 years of transition. Basingstoke: Palgrave Macmillan, pp. 119-138.