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Content
2024, Volume 177, Issue C
- S2110701723000744 Chinese economic behavior in times of covid-19. A new leading economic indicator based on Google trends
by Monge, Manuel & Claudio-Quiroga, Gloria & Poza, Carlos
- S2110701723000756 A multifractal detrended fluctuation analysis of Islamic and conventional financial markets efficiency during the COVID-19 pandemic
by Raza, Syed Ali & Shah, Nida & Suleman, Muhammed Tahir
- S2110701723000859 The dynamic effects of public investments on private capital formation: Modelling a heterogeneous asymmetric cointegration with unobserved global factors
by Carvelli, Gianni
- S2110701723000860 Talents from abroad. Foreign managers and productivity in the United Kingdom
by Exadaktylos, Dimitrios & Riccaboni, Massimo & Rungi, Armando
- S2110701723000872 The macroeconomic effects of exchange rate movements in a commodity-exporting developing economy
by Doojav, Gan-Ochir & Purevdorj, Munkhbayar & Batjargal, Anand
- S2110701724000015 Is gold a safe haven for the U.S. dollar during extreme conditions?
by Azimli, Asil
- S2110701724000027 Does financial inclusion enhance per capita income in the least developed countries?
by Afonso, António & Blanco-Arana, M. Carmen
- S2110701724000052 Impacts of remittances from internal and international migrants on poverty and inequality in Mali
by Coulibaly, Issiaka & Dembélé, Moustapha
2023, Volume 176, Issue C
- S2110701723000537 Energy transition in China: Assessing progress in sustainable development and resilience directions
by Gatto, Andrea & Drago, Carlo & Panarello, Demetrio & Aldieri, Luigi
- S2110701723000537 Energy transition in China: Assessing progress in sustainable development and resilience directions
by Gatto, Andrea & Drago, Carlo & Panarello, Demetrio & Aldieri, Luigi
- S2110701723000574 Wholesale price rigidities and exchange rate pass-through: Evidence from daily data of agricultural products
by Núñez, Héctor M. & Otero, Jesús & Trujillo-Barrera, Andrés
- S2110701723000574 Wholesale price rigidities and exchange rate pass-through: Evidence from daily data of agricultural products
by Núñez, Héctor M. & Otero, Jesús & Trujillo-Barrera, Andrés
- S2110701723000689 The effect of technological intensity on international trade
by Xiong, Tingting
- S2110701723000689 The effect of technological intensity on international trade
by Xiong, Tingting
- S2110701723000690 Hydrogen development in Europe: Estimating material consumption in net zero emissions scenarios
by Seck, Gondia Sokhna & Hache, Emmanuel & D'Herbemont, Vincent & Guyot, Mathis & Malbec, Louis-Marie
- S2110701723000690 Hydrogen development in Europe: Estimating material consumption in net zero emissions scenarios
by Seck, Gondia Sokhna & Hache, Emmanuel & D'Herbemont, Vincent & Guyot, Mathis & Malbec, Louis-Marie
- S2110701723000707 The fiscal multiplier when debt is denominated in foreign currency
by Hory, Marie-Pierre & Levieuge, Grégory & Onori, Daria
- S2110701723000707 The fiscal multiplier when debt is denominated in foreign currency
by Hory, Marie-Pierre & Levieuge, Grégory & Onori, Daria
- S2110701723000719 The information content of sentiment indices in forecasting Value at Risk and Expected Shortfall: a Complete Realized Exponential GARCH-X approach
by Naimoli, Antonio
- S2110701723000719 The information content of sentiment indices in forecasting Value at Risk and Expected Shortfall: a Complete Realized Exponential GARCH-X approach
by Naimoli, Antonio
- S2110701723000720 Services in the India-EU free trade agreement
by Nordås, Hildegunn Kyvik
- S2110701723000720 Services in the India-EU free trade agreement
by Nordås, Hildegunn Kyvik
- S2110701723000732 Frequency interdependence and portfolio management between gold, oil and sustainability stock markets
by Nekhili, Ramzi & Ziadat, Salem Adel & Mensi, Walid
- S2110701723000732 Frequency interdependence and portfolio management between gold, oil and sustainability stock markets
by Nekhili, Ramzi & Ziadat, Salem Adel & Mensi, Walid
2023, Volume 175, Issue C
- 1-12 Brexit and Canadadvent: An application of graphs and hypergraphs to recent international trade agreements
by Chessa, Michela & Persenda, Arnaud & Torre, Dominique
- 13-24 Economic diversification in Saudi Arabia: Comparing the impact of oil prices, geopolitical risk, and government expenditures
by Sweidan, Osama D. & Elbargathi, Khadiga
- 25-44 Trade decoupling from Russia
by Borin, Alessandro & Conteduca, Francesco Paolo & Di Stefano, Enrica & Gunnella, Vanessa & Mancini, Michele & Panon, Ludovic
- 45-62 Competition and banking efficiency in the WAEMU: The role of multinationals and institutions
by Kuessi, Richard & Nantob, N'Yilimon & Aguey, Segnon & Couchoro, Mawuli Kodjovi
- 63-89 Comparative advantages in the digital era–A Heckscher-Ohlin-Vanek approach
by Stöllinger, Roman & Guarascio, Dario
- 90-105 Gender, firm performance, and FDI supply–purchase spillovers in emerging markets
by Bournakis, Ioannis & Mei, Jen-Chung
- 106-120 Cultural proximity and global value chains
by Doan, Ngoc Thang
- 121-134 Fiscal outcomes, current account imbalances, and institutions in Europe: Exploring nonlinearities
by Keita, Kady & Rabaud, Isabelle & Turcu, Camelia
- 139-157 Time–frequency dependence and connectedness between financial technology and green assets
by Urom, Christian
- 158-170 Exchange-rate policy, institutions and wages: A macroeconomic quasi-experiment from Italy, 1997–2000
by Andini, Corrado
- 171-186 Remittances, financial development, and income inequality: A panel quantile regression approach
by Mallela, Keerti & Singh, Sunny Kumar & Srivastava, Archana
- 187-200 Financial development, diversity, and economic stability: Micro and systemic evidence
by Pisicoli, Beniamino
- 201-220 Intermediated trade and credit constraints: The case of firm’s imports
by Nucci, Francesco & Pietrovito, Filomena & Pozzolo, Alberto Franco
2023, Volume 174, Issue C
- 4-17 Entering the supplier base through certified management standards
by Bolatto, Stefano & Pignataro, Giuseppe
- 18-27 How do real and monetary integrations affect inflation dynamics?
by Saygılı, Hülya
- 28-43 Hubs of embodied business services in a GVC world
by Blázquez, Leticia & Díaz-Mora, Carmen & González-Díaz, Belén
- 44-68 Gains from trade and their quantification: Does sectoral disaggregation matter?
by Bolatto, Stefano & Moramarco, Graziano
- 69-90 The economic impact of conflict-related and policy uncertainty shocks: The case of Russia
by Diakonova, Marina & Ghirelli, Corinna & Molina, Luis & Pérez, Javier J.
- 91-111 The case of financial and banking integration of Central, Eastern and South Eastern European countries: A gravity model approach
by Raguideau-Hannotin, Léonore
- 113-137 Institutional Quality and Financial Development in Resource-Rich Countries: A Nonlinear Panel Data Approach
by Dosso, David
- 138-159 How does globalization affect educational attainment? Evidence from China
by Liu, Maggie Y.
- 160-179 The impact of the strengthening of export controls on Japanese exports of dual-use goods
by Hayakawa, Kazunobu & Ito, Keiko & Fukao, Kyoji & Deseatnicov, Ivan
- 180-195 Assessing the role of globalization for universal electricity access
by Noumba, Issidor & Nguea, Stéphane Mbiankeu
- 198-220 The strategic proximity-concentration trade-off with multiproduct multinational firms
by Minerva, Gaetano Alfredo
- 221-230 The impact of the war in Ukraine on energy prices: Consequences for firms’ financial performance
by Ferriani, Fabrizio & Gazzani, Andrea
- 231-249 The impact of exchange rates on Turkish imports and exports
by Thorbecke, Willem & Sengonul, Ahmet
- 250-255 Real exchange rate dynamics in the New-Keynesian model
by Kamalyan, Hayk
2023, Volume 173, Issue C
- 1-18 Dominant currencies and the export supply channel
by Frohm, Erik
- 19-28 Foreign direct investment, legal uncertainty and corporate income taxation
by Zagler, Martin
- 29-44 Stock market response to Covid-19, containment measures and stabilization policies—The case of Europe
by Klose, Jens & Tillmann, Peter
- 45-67 Exploring the ‘non-tariff measures black box’: Whose regulatory NTMs on which products improve the imported quality?
by Ghodsi, Mahdi
- 68-85 Heterogenous responses of stock markets to covid related news and sentiments: Evidence from the 1st year of pandemic
by Kamal, Javed Bin & Wohar, Mark
- 86-101 Nonlinearities in the exchange rate pass-through: The role of inflation expectations
by Anderl, Christina & Caporale, Guglielmo Maria
- 102-118 Economic development and export diversification: The role of trade costs
by Mora, Jesse & Olabisi, Michael
- 119-142 Bribery, global value chain decisions, and institutional constraints: Evidence from a cross-country firm-level data
by Ha, Le Thanh & Dung, Hoang Phuong & Thanh, To Trung
- 143-163 The impact of the customs union on the EU – Turkey trade
by Dursun, Gökhan
- 164-174 Insights into CO2 emissions in Europe in the context of COVID-19: A panel data analysis
by Jawadi, Fredj & Rozin, Philippe & Bourghelle, David
- 175-211 ECB unconventional monetary policy and volatile bank flows: Spillover effects on emerging market economies
by Ouerk, Salima
- 212-232 How macroeconomic factors drive the linkages between inflation and oil markets in global economies? A multiscale analysis
by Mensi, Walid & Rehman, Mobeen Ur & Hammoudeh, Shawkat & Vo, Xuan Vinh & Kim, Won Joong
- 233-248 Do women hold the key to financial sector development in Africa?
by Mougnol A Ekoula, Hervé William & Kamguia, Brice & Ndoya, Hermann
- 249-259 Technology adoption and specialized labor
by Carroni, Elias & Delogu, Marco & Pulina, Giuseppe
- 260-275 Relationship between the share of renewable electricity consumption, economic complexity, financial development, and oil prices: A two-step club convergence and PVAR model approach
by Kazemzadeh, Emad & Fuinhas, José Alberto & Koengkan, Matheus & Shadmehri, Mohammad Taher Ahmadi
- 276-283 Financial development and the growth effect of foreign direct investment: Does one size fit all?
by Osei, Michael J. & Kim, Jaebeom
- 284-295 Do monetary policy mandates and financial stability governance structures matter for the adoption of climate-related financial policies?
by D’Orazio, Paola & Popoyan, Lilit
- 296-324 Government debt deleveraging in the EMU
by Cole, Alexandre Lucas & Guerello, Chiara & Traficante, Guido
- 325-342 Trade secret protection, multinational firms and international trade
by Klein, Michael A.
- 343-358 Impacts of oil shocks on stock markets in Norway and Japan: Does monetary policy's effectiveness matter?
by Roudari, Soheil & Mensi, Walid & Kharusi, Sami Al & Ahmadian-Yazdi, Farzaneh
- 359-383 Digital technologies and intra-African trade
by Kere, Safilidin & Zongo, Amara
2022, Volume 172, Issue C
- 1-14 Varieties as a Source of Law of One Price Deviations
by Borraz, Fernando & Zipitría, Leandro
- 15-28 Financial market economy vs self-financing economy and the role of risk aversion
by Augier, Laurent & Yin, Chao
- 29-39 Bunker fuel, commodity prices and shipping market indices following the COVID-19 pandemic. A time-frequency analysis
by Monge, Manuel
- 40-49 The relationship between shipping freight rates and inflation in the Euro Area
by Michail, Nektarios A. & Melas, Konstantinos D. & Cleanthous, Lena
- 56-76 A non-parametric assessment of the effects of the Euro on GVC trade
by Montalbano, Pierluigi & Nenci, Silvia & Dell'Agostino, Laura
- 77-90 The COVID-19 pandemic, policy responses and stock markets in the G20
by Caporale, Guglielmo Maria & Kang, Woo-Young & Spagnolo, Fabio & Spagnolo, Nicola
- 91-105 Bayesian model averaging approach of the determinants of foreign direct investment in Africa
by Ajide, Kazeem Bello & Lanre Ibrahim, Ridwan
- 106-123 To consolidate or not to consolidate? A multi-step analysis to assess needed fiscal sustainability
by Afonso, António & Alves, José & Jalles, João Tovar
- 124-142 Inflation and unemployment, new insights during the EMU accession
by Combes, Jean-Louis & Lesuisse, Pierre
- 143-156 On the political economy of trade agreements: A de jure and de facto analysis of institutions
by Ezzat, Asmaa & Zaki, Chahir
- 157-167 Improved output gap estimates and forecasts using a local linear regression
by Fritz, Marlon
- 168-189 MaGE 3.1: Long-term macroeconomic projections of the World economy
by Fontagné, Lionel & Perego, Erica & Santoni, Gianluca
- 190-202 Making the EU cohesion policy work to support exports at time of Covid-19: Evidence on the Italian regions
by Boffardi, R. & Di Caro, P. & Arbolino, R.
- 203-216 European investment bank loan appraisal, the EU climate bank?
by Ebeling, Antoine
- 217-226 This time is different: Fiscal response to the COVID-19 pandemic among EU countries
by Bökemeier, Bettina & Wolski, Marcin
- 227-237 Does FDI have differential impacts on exports? Evidence from developing countries
by Sahoo, Pravakar & Dash, Ranjan Kumar
- 238-254 Green bonds and oil price shocks and uncertainty: A safe haven analysis
by Mokni, Khaled & Mensi, Walid & Hammoudeh, Shawkat & Ajmi, Ahdi Noomen
- 255-277 Reshoring and plant closures in Covid-19 times: Evidence from Italian MNEs
by Di Stefano, Enrica & Giovannetti, Giorgia & Mancini, Michele & Marvasi, Enrico & Vannelli, Giulio
- 278-296 Aid allocation: The role of external discipline
by Bourguignon, François & Platteau, Jean-Philippe
- 297-310 Delays in public investment projects
by Espinoza, Raphael & Presbitero, Andrea F.
- 311-323 Moral hazard index for credit risk to SMEs
by Castillo, José A. & Mora-Valencia, Andrés & Perote, Javier
- 324-330 A time to build: Does technical assistance matter for revenue mobilization?
by Chami, Ralph & Darkey, Elorm & Williams, Oral
- 331-348 Abnormal pricing in international commodity trading: Evidence from Ghana
by Ahene-Codjoe, Ama A. & Alu, Angela A. & Mehrotra, Rahul
- 349-367 When do we repair the roof? Insights from responses to fiscal crisis early warning signals
by Honda, Jiro & Tapsoba, René & Issifou, Ismael
- 368-388 Eurobonds, debt sustainability and macroeconomic performance in Africa: Synthetic control experiments
by Chuku, Chuku & Yenice, Mustafa Yasin
- 389-402 Capital ratios and banking crises in the European Union
by Cardot-Martin, Raphaël & Labondance, Fabien & Refait-Alexandre, Catherine
- 403-413 Better safe than sorry: Macroprudential policy, Covid 19 and climate change
by Le Quang, Gaëtan & Scialom, Laurence
- 414-430 Prudential policy spillovers: How do international bank flows react to French policies?
by Dées, Stephane & Ramos-Tallada, Julio
- 431-450 Does pandemic risk affect yield spreads in the EMU?
by Matei, Iuliana
- 451-462 A theoretical foundation for prudential authorities decision making
by Badarau, Cristina & Roussel, Corentin
2022, Volume 171, Issue C
- 1-17 “There is No vaccine for climate change” - How well Governments’COVID-19 green stimulus announcements contribute to business sustainability?
by Selmi, Refk & Makhlouf, Farid & Kasmaoui, Kamal & Errami, Youssef & Ben Atta, Oussama
- 18-29 Does foreign investment crowd in domestic investment? Evidence from Vietnam
by Ha, Van & Holmes, Mark J. & Tran, Tuyen Quang
- 30-48 Firm-level policy support during the crisis: So far, so good?
by Harasztosi, Péter & Maurin, Laurent & Pál, Rozália & Revoltella, Debora & van der Wielen, Wouter
- 49-57 The economic and welfare state determinants of well-being in Europe
by Bonasia, Mariangela & Napolitano, Oreste & Spagnolo, Fabio & Spagnolo, Nicola
- 58-79 Trade and structural change: An empirical investigation
by Comunale, Mariarosaria & Felice, Giulia
- 80-109 Green energy indices & financial markets: An in-depth look
by Nobletz, Capucine
- 110-129 Trade credit and global value chain: Evidence from cross-country firm-level data
by Thang, Doan Ngoc & Ha, Le Thanh
- 130-142 Consistency of micro- and macro-level data on global value chains: Evidence from selected European countries
by Giunta, A. & Montalbano, P. & Nenci, S.
- 143-173 Are there any robust determinants of growth in Europe? A Bayesian Model Averaging approach
by D'Andrea, Sara
- 174-190 Common and idiosyncratic movements in Latin-American exchange rates
by Gamboa-Estrada, Fredy & Romero, José Vicente
- 191-213 Can taxes help ensure a fair globalization?
by Langot, François & Merola, Rossana & Oh, Samil
2022, Volume 170, Issue C
- 1-31 Searching the nature of uncertainty: Macroeconomic and financial risks VS geopolitical and pandemic risks
by Himounet, Nicolas
- 32-48 Wealth, price levels, and product quality
by Struck, Clemens C.
- 49-65 Do globalization and resource rents matter for human well-being? Evidence from African countries
by Noumba, Issidor & Noula, Armand Gilbert & Nguea, Stéphane Mbiankeu
- 66-78 Spillovers between exchange rate pressure and CDS bid-ask spreads, reserve assets and oil prices using the quantile ARDL model
by Hammoudeh, Shawkat & Mensi, Walid & Cho, Jin Seo
- 79-91 Access to water and sanitation in Africa: Does globalization matter?
by Fotio, Hervé Kaffo & Nguea, Stéphane Mbiankeu
- 92-102 Effects of the business cycle on real exchange rate misalignments with respect to exchange rate regimes
by Jebeniani, Jihene & Trabelsi, Jamel
- 103-114 Understanding the transmission of COVID-19 news to French financial markets in early 2020
by Thorbecke, Willem
- 115-128 Bank credit and economic growth: A dynamic threshold panel model for ASEAN countries
by Ho, Sy-Hoa & Saadaoui, Jamel
- 129-155 Revealed Comparative Advantage and Contribution-to-the-Trade-Balance indexes
by Stellian, Rémi & Danna-Buitrago, Jenny P.
- 156-173 The impact of de facto globalization on carbon emissions: Evidence from Ghana
by Acheampong, Alex O.
- 174-189 Outward FDI and exports relation: A heterogeneous panel approach dealing with cross-sectional dependence
by Maza, Adolfo & Gutiérrez-Portilla, Paula
- 190-201 Trade and business cycle synchronization: The role of common trade partners
by Azcona, Nestor
- 202-212 Measuring exchange rate risks during periods of uncertainty
by Ferrara, Laurent & Yapi, Joseph
- 213-234 Non-fundamental home bias in international equity markets
by Kim, Gyu Hyun & Kim, Hoffmann
- 235-247 A consolidated-by-nationality approach to Irish foreign exposure
by Sanchez Pacheco, André
2022, Volume 169, Issue C
- 1-12 A proposal of a suspicion of tax fraud indicator based on Google trends to foresee Spanish tax revenues
by Monge, Manuel & Poza, Carlos & Borgia, Sofía
- 13-29 The financial development impact of financial globalization revisited: A focus on OECD countries
by Aluko, Olufemi Adewale & Opoku, Eric Evans Osei
- 30-42 Financial and economic development in the context of the global 2008-09 financial crisis
by Afonso, António & Blanco-Arana, M. Carmen
- 43-54 Measuring the economic efficiency performance in Latin American and Caribbean countries: An empirical evidence from stochastic production frontier and data envelopment analysis
by Koengkan, Matheus & Fuinhas, José Alberto & Kazemzadeh, Emad & Osmani, Fariba & Alavijeh, Nooshin Karimi & Auza, Anna & Teixeira, Mônica
- 55-70 The determinants and cyclicality of fiscal policy: Empirical evidence from East Africa
by Mawejje, Joseph & Odhiambo, Nicholas M.
- 71-88 Does foreign aid impede economic complexity in developing countries?
by Kamguia, Brice & Tadadjeu, Sosson & Miamo, Clovis & Njangang, Henri
- 89-97 The impact of economic policy uncertainty on banks' non-interest income activities
by Boungou, Whelsy & Mawusi, Charles
- 98-134 Does domestic investment respond to inflation targeting? A synthetic control investigation
by McCloud, Nadine
- 135-147 Mapping the emergence and diffusion of climate-related financial policies: Evidence from a cluster analysis on G20 countries
by D'Orazio, Paola
- 148-160 Has the Global Financial Crisis increased wealth inequality?
by Shchepeleva, Maria & Stolbov, Mikhail & Weill, Laurent
- 161-174 Trade shocks and labour market resilience in Sub-Saharan Africa: Does the franc zone response differently?
by Nchofoung, Tii N.
- 175-190 Mexico needs a fiscal twist: Response to Covid-19 and beyond
by Hannan, Swarnali Ahmed & Honjo, Keiko & Raissi, Mehdi
- 191-207 Invoicing Currency and Symmetric Pass-Through of Exchange Rates and Tariffs: Evidence from Malawian Imports from the EU
by Montfaucon, Angella Faith
- 208-229 Economic sentiments and international risk sharing
by Clancy, Daragh & Ricci, Lorenzo
- 230-251 Foreign investors and target firms’ financial structure
by Bencivelli, Lorenzo & Pisicoli, Beniamino
- 252-268 Does something change in the oil market with the COVID-19 crisis?
by Zhang, Dan & Farnoosh, Arash & Lantz, Frédéric
- 269-290 The impact of global value chain participation on income inequality
by Carpa, Nur & Martínez-Zarzoso, Inmaculada
- 291-308 A highway across the Atlantic? Trade and welfare effects of the EU-Mercosur agreement
by Timini, Jacopo & Viani, Francesca
2021, Volume 168, Issue C
- 1-9 Short and long run environmental tax buoyancy in EU-28: a panel study
by De Pascale, Gianluigi & Fiore, Mariantonietta & Contò, Francesco
- 10-24 Nowcasting Russian GDP using forecast combination approach
by Zhemkov, Michael
- 25-39 How to simulate international economic sanctions: A multipurpose index modelling illustrated with EU sanctions against Russia
by Bali, Morad & Rapelanoro, Nady
- 40-55 New insights on the debt-growth nexus: A combination of the interactive fixed effects and panel threshold approach
by Kassouri, Yacouba & Altıntaş, Halil & Alancioğlu, Erdal & Kacou, Kacou Yves Thierry
- 56-75 Economic sentiment indicators and foreign direct investment: Empirical evidence from European Union countries
by Cieślik, Andrzej & Ghodsi, Mahdi
- 76-97 Dependence structure between oil price volatility and sovereign credit risk of oil exporters: Evidence using a copula approach
by Ehouman, Yao Axel
- 98-114 How does terms of trade volatility affect macroeconomic volatility? The roles of financial development and institutions
by Avom, Désiré & Kamguia, Brice & Ngameni, Joseph Pasky & Njangang, Henri
- 115-131 Service characteristics and the choice between exports and FDI: Evidence from Belgian firms
by Sleuwaegen, Leo & Smith, Peter M.
- 132-165 Currency depreciations in emerging economies: A blessing or a curse for external debt management?
by Fisera, Boris & Workie Tiruneh, Menbere & Hojdan, David
- 166-181 Improving the predictability of stock returns with global financial cycle and oil price in oil-exporting African countries
by Adekoya, Oluwasegun B. & Ogunbowale, Gideon O. & Akinseye, Ademola B. & Oduyemi, Gabriel O.
2021, Volume 167, Issue C
- 1-14 Effects of governance quality on exports in Sub-Saharan Africa
by Bah, Mamadou & Atangana Ondoa, Henri & Kpognon, Koffi Délali
- 15-28 Financial inclusion, income inequality, and institutions in sub-Saharan Africa: Identifying cross-country inequality regimes
by Sawadogo, Relwendé & Semedo, Gervasio
- 29-38 Inflation-targeting and inflation volatility: International evidence from the cosine-squared cepstrum
by Antonakakis, Nikolaos & Christou, Christina & Gil-Alana, Luis A. & Gupta, Rangan
- 39-49 Oil price volatility in the context of Covid-19
by Bourghelle, David & Jawadi, Fredj & Rozin, Philippe
- 50-58 FX markets’ reactions to COVID-19: Are they different?
by Bazán-Palomino, Walter & Winkelried, Diego
- 59-77 The US shale gas revolution: An opportunity for the US manufacturing sector?
by Kirat, Yassine
- 78-87 Is there any information content of traded stocks in an emerging market? Evidence from Vietnam
by Doan, Bao & Vo, Duc Hong
- 88-95 U.S. historical initial jobless claims. Is it different with the coronavirus crisis? A fractional integration analysis
by Monge, Manuel
- 96-107 What moves housing markets: A state-space approach of the price-income ratio
by Rizi, Majid Haghani
- 108-119 Robots are not always bad for employment and wages
by Sequeira, Tiago Neves & Garrido, Susana & Santos, Marcelo
- 120-135 Uncovering the implicit short-term inflation target of the Bank of England
by Zhu, Sheng & Kavanagh, Ella & O'Sullivan, Niall
- 136-150 Economic policy uncertainty and the volatility connectedness between oil shocks and metal market: An extension
by Oliyide, Johnson A. & Adekoya, Oluwasegun B. & Khan, Muhammad A.
- 151-173 Dynamic effects of trade barriers with speculation on foreign currency: The case of Iran
by Rahmati, Mohammad Hossein & Ebrahimian, Mehran & Madanizadeh, Seyed Ali
- 174-188 Twin trade shocks: Spillovers from US-China trade tensions
by Kireyev, Alexei & Leonidov, Andrei
- 189-205 Measuring size distortions of location quotients
by Iglesias, Matias Nehuen
- 206-228 External and internal exchange rates and the Dutch disease: Evidence from a panel of oil-exporting African countries
by Mien, Edouard
2021, Volume 166, Issue C
- 1-22 Dynamic optimal portfolio choice under time-varying risk aversion
by Díaz, Antonio & Esparcia, Carlos
- 23-41 Understanding China's role in recent debt relief operations: A case study analysis
by Bon, Gatien & Cheng, Gong
- 42-57 Frequency domain analysis and filtering of business and consumer survey expectations
by Claveria, Oscar & Monte, Enric & Torra, Salvador
- 58-70 Economic growth and corruption in emerging markets: Does economic freedom matter?
by Malanski, Leonardo Köppe & Póvoa, Angela Cristiane Santos
- 71-94 The impact of services trade restrictiveness on food trade
by Zongo, Amara
- 95-115 The impact of regulatory distance from global standards on a country’s centrality in global value chains
by Inui, Tomohiko & Ikeuchi, Kenta & Obashi, Ayako & Yang, Qizhong
- 116-125 Examining the impact of ICT, human capital and carbon emissions: Evidence from the ASEAN economies
by Haini, Hazwan
- 126-139 Diversification potential in real estate portfolios
by Candelon, Bertrand & Fuerst, Franz & Hasse, Jean-Baptiste
- 140-166 The International Trade and Production Database for Estimation (ITPD-E)
by Borchert, Ingo & Larch, Mario & Shikher, Serge & Yotov, Yoto V.
- 167-176 The discount factor for expected fundamentals: Evidence from a panel of 25 exchange rates
by Cumperayot, Phornchanok & Kouwenberg, Roy
2021, Volume 165, Issue C
- 1-13 Protectionism and international trade: A long-run view
by Gregori, Tullio
- 14-36 Too much finance or too many weak instruments?
by Fajeau, Maxime
- 37-50 Dynamic relations between oil and stock markets: Volatility spillovers, networks and causality
by Gomez-Gonzalez, Jose E. & Hirs-Garzón, Jorge & Sanín-Restrepo, Sebastián
- 51-66 Economic activity, and financial and commodity markets’ shocks: An analysis of implied volatility indexes
by Urom, Christian & Ndubuisi, Gideon & Ozor, Jude
- 67-84 Exchange rates and fundamentals: Further evidence based on asymmetric causality test
by Soon, Siew-Voon & Baharumshah, Ahmad Zubaidi
- 85-93 Twin balances, public governance and private investment: Quantile estimation for OECD countries
by Su, Thanh Dinh & Nguyen, Canh Phuc
- 94-117 MULTIPRIL, a new database on multilateral price levels and currency misalignments
by Couharde, Cécile & Grekou, Carl & Mignon, Valérie
- 121-139 New evidence on international risk-sharing in the Economic Community of West African States (ECOWAS)
by Zouri, Stéphane
- 140-153 The energy transition, Trump energy agenda and COVID-19
by Selmi, Refk & Bouoiyour, Jamal & Hammoudeh, Shawkat & Errami, Youssef & Wohar, Mark E.
- 154-171 Regional and global patterns of participation in value chains: Evidence from Brazil
by Araújo, Inácio Fernandes de & Perobelli, Fernando Salgueiro & Faria, Weslem Rodrigues
- 172-185 Bilateral investment treaties and backward linkages in Sub-Saharan Africa
by Amendolagine, Vito & Prota, Francesco
- 186-203 Global imbalances, external adjustment and propagated shocks: An African perspective from a global VAR model
by Omoshoro-Jones, Oyeyinka S. & Bonga-Bonga, Lumengo
- 204-217 Export performance and capacity pressures in Central and Eastern Europe
by Staehr, Karsten
- 218-240 Income inequality, human capital and terrorism in Africa: Beyond exploratory analytics
by Ajide, Kazeem B. & Alimi, Olorunfemi Y.
- 241-263 Impact of the ECB Quantitative Easing on the International Investment Position
by Cezar, Rafael & Silvestrini, Maéva
- 264-277 Environmental regulation and productivity growth: Main policy challenges
by De Santis, R. & Esposito, P. & Lasinio, C. Jona
2020, Volume 164, Issue C