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Content
2020, Volume 164, Issue C
- 18-35 Oil price jumps and the uncertainty of oil supplies in a geopolitical perspective: The role of OPEC’s spare capacity
by Selmi, Refk & Bouoiyour, Jamal & Miftah, Amal
- 36-47 Rediscovering the EKC hypothesis for the 20 highest CO2 emitters among OECD countries by level of globalization
by Leal, Patrícia Hipólito & Marques, António Cardoso
- 48-68 Understanding how foreign direct investment inflows impact urbanization in Africa
by Grekou, Carl & Owoundi, Ferdinand
- 69-85 Better the devil you know: Home and sectoral biases in bank lending
by Burietz, A. & Ureche-Rangau, L.
- 86-114 A case for leaning against the wind in a commodity-exporting economy
by Kozlovtceva, Irina & Ponomarenko, Alexey & Sinyakov, Andrey & Tatarintsev, Stas
- 115-139 Extension of the Fama and French model: A study of the largest European financial institutions
by Jareño, Francisco & González, María de la O & Escolástico, Alba M.
- 140-150 The drivers of economic complexity: International evidence from financial development and patents
by Nguyen, Canh Phuc & Schinckus, Christophe & Su, Thanh Dinh
- 151-167 Classification of transfer pricing systems across countries
by Rathke, Alex A.T. & Rezende, Amaury J. & Watrin, Christoph
- 168-182 Economic complexity, human capital, and FDI attraction: A cross country analysis
by Sadeghi, Pegah & Shahrestani, Hamid & Kiani, Kambiz Hojabr & Torabi, Taghi
- 183-193 Do structural shocks in the crude oil market affect biofuel prices?
by Maghyereh, Aktham I. & Sweidan, Osama D.
- 194-205 Global value chains and the missing link between exchange rates and export diversification
by Tran, Thi Anh-Dao & Phi, Minh Hong & Thai, Long
- 206-216 Fettered cross-border capital flows, external finance dependence, and international trade
by Ndubuisi, Gideon
- 217-240 Three-player sovereign debt negotiations
by Elard, Ilaf
2020, Volume 163, Issue C
- 1-24 Real exchange rate misalignments in developing countries: The role of exchange rate flexibility and capital account openness
by Mahraddika, Wishnu
- 25-43 Business cycles, bilateral trade and financial integration: Evidence from Economic Community of West African States (ECOWAS)
by Zouri, Stéphane
- 44-57 The threshold of absorptive capacity: The case of Vietnamese manufacturing firms
by Duong, Vu Hoang
- 58-71 On the effect of credit rating announcements on sovereign bonds: International evidence
by Kenourgios, Dimitrios & Umar, Zaghum & Lemonidi, Paraskevi
- 72-91 Expectations anchoring indexes for Brazil using Kalman filter: Exploring signals of inflation anchoring in the long term
by de Oliveira, Fernando Nascimento & Gaglianone, Wagner Piazza
- 92-100 Investment confidence and regional trade agreements with the United States
by Chong, Alberto & Srebot, Carla
- 101-113 Policy uncertainty and consumption in G7 countries: An asymmetry analysis
by Bahmani-Oskooee, Mohsen & Maki Nayeri, Majid
- 114-133 The impact of future power generation on cement demand: An international and regional assessment based on climate scenarios
by Hache, Emmanuel & Simoën, Marine & Seck, Gondia Sokhna & Bonnet, Clément & Jabberi, Aymen & Carcanague, Samuel
- 134-146 Cross-country convergence in global value chains: Evidence from club convergence analysis
by Jangam, Bhushan Praveen & Rath, Badri Narayan
- 147-154 Tracking fiscal discipline. Looking for a PIIGS on the wing
by Neto, David
- 155-162 Loan growth, capitalization, and credit risk in Islamic banking
by Sobarsyah, Muhammad & Soedarmono, Wahyoe & Yudhi, Wahdi Salasi Apri & Trinugroho, Irwan & Warokka, Ari & Pramono, Sigid Eko
- 163-175 A real time leading economic indicator based on text mining for the Spanish economy. Fractional cointegration VAR and Continuous Wavelet Transform analysis
by Poza, Carlos & Monge, Manuel
2020, Volume 162, Issue C
- 1-14 Manufacturing firms’ export activity: Business and financial cycles overlaps!
by Laborda, Juan & Salas, Vicente & Suárez, Cristina
- 15-33 Role of capital flight as a driver of sovereign bond spreads in Latin American countries
by Dachraoui, Hajer & Smida, Mounir & Sebri, Maamar
- 34-49 Insulating property of the flexible exchange rate regime: A case of Central and Eastern European countries
by Dąbrowski, Marek A. & Wróblewska, Justyna
- 50-66 Natural resource rents, political regimes and terrorism in Africa
by Ajide, Kazeem B. & Adenuga, Juliet I. & Raheem, Ibrahim D.
- 67-79 Growth accounting and regressions: New approach and results
by Sequeira, Tiago & Morão, Hugo
- 80-91 Mexican peso-USD exchange rate: A switching linear dynamical model application
by Saldaña-Zepeda, Dayna P. & Velasco-Cruz, Ciro & Torres-Preciado, Víctor H.
- 92-109 Collateral damage: The Western sanctions on Russia and the evaluation of implications for Russia’s post-communist neighbourhood
by Bayramov, Vugar & Rustamli, Nabi & Abbas, Gulnara
- 110-124 The effects of investor emotions sentiments on crude oil returns: A time and frequency dynamics analysis
by Maghyereh, Aktham & Awartani, Basel & Abdoh, Hussein
2020, Volume 161, Issue C
- 1-9 NAFTA and the convergence of CO2 emissions intensity and its determinants
by Apergis, Nicholas & Payne, James E.
- 10-29 Regime dependent effects and cyclical volatility spillover between crude oil price movements and stock returns
by Urom, Christian & Onwuka, Kevin O. & Uma, Kalu E. & Yuni, Denis N.
- 30-40 The role of carry trades on the effectiveness of Japan's quantitative easing
by Chuffart, Thomas & Dell'Eva, Cyril
- 41-55 Understanding the dynamics of foreign reserve management: The central bank intervention policy and the exchange rate fundamentals
by Uz Akdogan, Idil
- 56-65 How do human rights violations affect poverty and income distribution?
by Apergis, Nicholas & Cooray, Arusha
- 66-82 Tail dependence structures between economic policy uncertainty and foreign exchange markets: Nonparametric quantiles methods
by Al-Yahyaee, Khamis Hamed & Shahzad, Syed Jawad Hussain & Mensi, Walid
- 83-99 Inequality, poverty and economic growth
by Breunig, Robert & Majeed, Omer
- 100-119 Arab geopolitics in turmoil: Implications of Qatar-Gulf crisis for business
by Selmi, Refk & Bouoiyour, Jamal
- 120-129 Investigating Asian regional income convergence using Fourier Unit Root test with Break
by Yaya, OlaOluwa S. & Furuoka, Fumitaka & Pui, Kiew Ling & Jacob, Ray Ikechukwu & Ezeoke, Chinyere M.
- 130-138 Halloween Effect in developed stock markets: A historical perspective
by Plastun, Alex & Sibande, Xolani & Gupta, Rangan & Wohar, Mark E.
- 139-158 The post-crises output growth effects in a globalized economy
by Candelon, Bertrand & Carare, Alina & Hasse, Jean-Baptiste & Lu, Jing
- 159-172 Determinants of foreign direct investment inflows: The role of economic policy uncertainty
by Canh, Nguyen Phuc & Binh, Nguyen Thanh & Thanh, Su Dinh & Schinckus, Christophe
- 173-187 Growing external debt and declining export: The concurrent impediments in economic growth of Sub-Saharan African countries
by Edo, Samson & Osadolor, Nneka Esther & Dading, Isuwa Festus
- 188-198 Constrained Poisson pseudo maximum likelihood estimation of structural gravity models
by Pfaffermayr, Michael
- 199-218 Measuring the natural rate of interest in a commodity exporting economy: Evidence from Mongolia
by Doojav, Gan-Ochir & Gantumur, Munkhbayar
- 219-236 Are global value chains receding? The jury is still out. Key findings from the analysis of deflated world trade in parts and components
by Gaulier, Guillaume & Sztulman, Aude & Ünal, Deniz
- 237-247 Measuring the Balassa-Samuelson effect: A guidance note on the RPROD database
by Couharde, Cécile & Delatte, Anne-Laure & Grekou, Carl & Mignon, Valérie & Morvillier, Florian
2019, Volume 160, Issue C
- 3-13 The nonlinear relationship between economic growth and financial development: Evidence from developing, emerging and advanced economies
by Botev, Jaroslava & Égert, Balázs & Jawadi, Fredj
- 14-30 Political uncertainty and financial market reactions: A new test
by Wang, Huiqiang & Boatwright, Annie L.
- 31-42 Who's winning the low-carbon innovation race? An assessment of countries' leadership in renewable energy technologies
by Bonnet, Clément & Hache, Emmanuel & Seck, Gondia Sokhna & Simoën, Marine & Carcanague, Samuel
- 43-55 The impact of public capital stock on energy consumption: Empirical evidence from Latin America and the Caribbean region
by Koengkan, Matheus & Santiago, Renato & Fuinhas, José Alberto
- 56-71 Who leads the inflation cycle in Europe? Inflation cycle and spillover influence among Eurozone and non-Eurozone economies
by Kang, Sang Hoon & Arreola Hernandez, Jose & Yoon, Seong-Min
- 72-83 The impact of biofuels on food security
by Subramaniam, Yogeeswari & Masron, Tajul Ariffin & Azman, Nik Hadiyan Nik
- 84-89 A practical routine to harmonize product classifications over time
by Bellert, Nicole & Fauceglia, Dario
2019, Volume 159, Issue C
- 1-17 Banking competition, financial dependence and productivity growth in Europe
by Leroy, Aurélien
- 18-25 Does inequality really matter in forecasting real housing returns of the United Kingdom?
by Hassani, Hossein & Yeganegi, Mohammad Reza & Gupta, Rangan
- 26-35 Frankel and Romer revisited
by Nordås, Hildegunn Kyvik
- 36-47 Who is hurt by dollar-euro volatility in the euro zone?
by Bahmani-Oskooee, Mohsen & Harvey, Hanafiah
- 48-55 Unemployment effect of WTO ascension: Evidence from a natural experiment
by Onwachukwu, Chinedu Increase & Okagbue, Ekene Francis
- 56-73 The technical decomposition of carbon emissions and the concerns about FDI and trade openness effects in the United States
by Shahbaz, Muhammad & Gozgor, Giray & Adom, Philip Kofi & Hammoudeh, Shawkat
- 74-93 Intelligent forecasting of economic growth for developing economies
by Chuku, Chuku & Simpasa, Anthony & Oduor, Jacob
- 94-104 Bank consolidation and financial stability in Indonesia
by Yusgiantoro, Inka & Soedarmono, Wahyoe & Tarazi, Amine
- 105-120 Product relatedness in the extensive margin of bilateral trade
by Kharel, Paras
- 121-139 China's “New normal”: Will China's growth slowdown derail the BRICS stock markets?
by Selmi, Refk & Bouoiyour, Jamal & Miftah, Amal
- 140-150 Testing the Fisher hypothesis in the G-7 countries using I(d) techniques
by Caporale, Guglielmo Maria & Gil-Alaña, Luis
- 151-164 How much will the Belt and Road Initiative reduce trade costs?
by de Soyres, François & Mulabdic, Alen & Murray, Siobhan & Rocha, Nadia & Ruta, Michele
2019, Volume 158, Issue C
- 1-11 Understanding the non-Gaussian distribution of revealed comparative advantage index and its alternatives
by Liu, Bin & Gao, Jianbo
- 12-24 Are “twin deficits” asymmetric? Evidence on government budget and current account balances, 1870–2013
by Karras, Georgios
- 25-38 Testing the globalization-driven carbon emissions hypothesis: International evidence
by Shahbaz, Muhammad & Kumar Mahalik, Mantu & Jawad Hussain Shahzad, Syed & Hammoudeh, Shawkat
- 39-50 Does international reserve accumulation crowd out domestic private investment?
by Mahraddika, Wishnu
- 51-63 Can West African countries catch up with Nigeria? Evidence from smooth nonlinearity method in fractional unit root framework
by Yaya, OlaOluwa S. & Ling, Pui Kiew & Furuoka, Fumitaka & Rose Ezeoke, Chinyere Mary & Jacob, Ray Ikechukwu
- 64-76 An examination of trade-weighted real exchange rates based on fractional integration
by Gil-Alana, Luis Alberiko & Trani, Tommaso
- 77-90 Vine copula-based dependence and portfolio value-at-risk analysis of the cryptocurrency market
by Boako, Gideon & Tiwari, Aviral Kumar & Roubaud, David
- 91-103 The importance of the financial system for the current account in Sweden: A sectoral approach
by Spånberg, Erik & Shahnazarian, Hovick
2019, Volume 157, Issue C
- 1-22 Exchange rate predictability in emerging markets
by Baku, Elisa
- 23-32 Volatility estimation for Bitcoin: Replication and robustness
by Charles, Amélie & Darné, Olivier
- 33-54 Cross-border interbank contagion in the European banking sector
by Gabrieli, Silvia & Salakhova, Dilyara
- 55-67 Iterative solutions for structural gravity models in panels
by Poissonnier, Aurélien
- 68-81 From nominal devaluations to real depreciations
by Grekou, Carl
- 82-98 Multiple time-scales analysis of global stock markets spillovers effects in African stock markets
by Gourène, Grakolet Arnold Z. & Mendy, Pierre & N'gbo Ake, Gilbert Marie
- 99-116 Is a more financially open world riskier?
by Stolbov, Mikhail
- 117-133 Conditional quantiles and tail dependence in the volatilities of gold and silver
by Bouri, Elie & Jalkh, Naji
- 134-169 Do economic openness and institutional quality influence patents? Evidence from GMM systems estimates
by Phuc Canh, Nguyen & Schinckus, Christophe & Thanh, Su Dinh
- 170-178 The chain version of Heckscher-Ohlin theory correctly predicts U.S. trade flows!
by Cavusoglu, Nevin
- 179-202 The accuracy of asymmetric GARCH model estimation
by Charles, Amélie & Darné, Olivier
- 203-226 Foreign direct investment and wage dispersion: Evidence from French employer-employee data
by Laffineur, Catherine & Gazaniol, Alexandre
2018, Volume 156, Issue C
- 1-14 Sovereign risk and the real exchange rate: A non-linear approach
by Ojeda-Joya, Jair N. & Sarmiento, Gloria
- 15-30 Asymmetric impacts of public and private investments on the non-oil GDP of Saudi Arabia
by Mensi, Walid & Hussain Shahzad, Syed Jawad & Hammoudeh, Shawkat & Al-Yahyaee, Khamis Hamed
- 31-44 The causal effect of reducing trade policy uncertainty: A comparative case study of Bangladesh's textile exports to Switzerland
by Ritzel, Christian & Kohler, Andreas & Mann, Stefan & Beciu, Silviu
- 45-60 Are all cycles alike? An empirical investigation of regional and global factors in developed and emerging economies
by Benhamou, Zouhair Ait
- 61-76 Who fears or favors globalization? Evidence from individual-level survey data in Japan
by Kagitani, Koichi & Harimaya, Kozo
- 77-85 Re-examination of the convergence hypothesis among OECD countries: Evidence from Fourier quantile unit root test
by Bahmani-Oskooee, Mohsen & Chang, Tsangyao & Elmi, Zahra (Mila) & Ranjbar, Omid
- 86-97 Globalization and terror in Africa
by Asongu, Simplice A. & Biekpe, Nicholas
- 98-116 Reducing model risk in early warning systems for banking crises in the euro area
by Coudert, Virginie & Idier, Julien
- 117-126 Under pressure: Dynamic pass-through of oil prices to the RUB/USD exchange rate
by Fedoseeva, Svetlana
- 127-135 Do renewable energies improve energy security in the long run?
by Hache, Emmanuel
- 136-155 Shocks to the international prices of agricultural commodities and the effects on welfare and poverty. A simulation of the ex ante long-run effects for Uruguay
by Moncarz, Pedro & Barone, Sergio & Descalzi, Ricardo
- 156-174 Forecasting currency crises with threshold models
by Chong, Terence T.L. & Yan, Isabel K.
- 175-192 Estimating value-at-risk using a multivariate copula-based volatility model: Evidence from European banks
by Sampid, Marius Galabe & Hasim, Haslifah M.
- 193-205 Income level and the emissions, energy, and growth nexus: Evidence from Asia and the Pacific
by Le, Thai-Ha & Quah, Euston
- 206-230 EQCHANGE: A world database on actual and equilibrium effective exchange rates
by Couharde, Cécile & Delatte, Anne-Laure & Grekou, Carl & Mignon, Valérie & Morvillier, Florian
- 231-246 Natural resource curse in oil exporting countries: A nonlinear approach
by Damette, Olivier & Seghir, Majda
- 247-253 Impact of macroeconomic news surprises and uncertainty for major economies on returns and volatility of oil futures
by Bahloul, Walid & Gupta, Rangan
- 254-267 Environment-energy-growth nexus in Sub-Saharan Africa: The role of intermediate goods
by Boutabba, Mohamed Amine & Diaw, Diadié & Lessoua, Albert
- 268-283 Dynamics of net foreign asset components in the EMU
by Cesaroni, Tatiana & De Santis, Roberta
- 284-304 How do Islamic versus conventional equity markets react to political risk? Dynamic panel evidence
by Ahmed, Walid M.A.
- 305-325 How important are global geopolitical risks to emerging countries?
by Cheng, Chak Hung Jack & Chiu, Ching-Wai (Jeremy)
- 326-364 Governance and economic growth: The role of the exchange rate regime
by Hadj Fraj, Salma & Hamdaoui, Mekki & Maktouf, Samir
2018, Volume 155, Issue C
- 1-2 Introduction to the special issue: Social values of carbon and climate policy signals in the post-COP21 context
by Espagne, Etienne & Hourcade, Jean-Charles
- 3-7 Pricing carbon removal
by Sirkis, Alfredo
- 8-18 Social value of mitigation activities and forms of carbon pricing
by Hourcade, Jean-Charles & Pottier, Antonin & Espagne, Etienne
- 19-28 The role of financing cost and de-risking strategies for clean energy investment
by Steckel, Jan Christoph & Jakob, Michael
- 29-47 SCCs and the use of IAMs: Let's separate the wheat from the chaff
by Espagne, Etienne & Pottier, Antonin & Fabert, Baptiste Perrissin & Nadaud, Franck & Dumas, Patrice
- 48-60 On the link between oil and agricultural commodity prices: Do biofuels matter?
by Paris, Anthony
- 61-68 Overcoming the financial barrier to a low emission development strategy in Brazil
by La Rovere, E.L. & Grottera, C. & Wills, W.
- 69-83 The Landscape of domestic climate investment and finance flows: Methodological lessons from five years of application in France
by Hainaut, Hadrien & Cochran, Ian
- 84-91 Guaranteeing sustainable infrastructure
by Studart, Rogerio & Gallagher, Kevin
- 92-108 Debt and damages: What are the chances of staying under the 2°C warming threshold?
by Bovari, Emmanuel & Lecuyer, Oskar & Mc Isaac, Florent
2018, Volume 154, Issue C
- 3-22 The revealed cost competitiveness of changing trade patterns: A country-sector exercise
by Del Gatto, Massimo
- 23-47 Relaxing credit constraints in emerging economies: The impact of public loans on the productivity of Brazilian manufacturers
by Lage de Sousa, Filipe & Ottaviano, Gianmarco I.P.
- 48-67 Productivity and wage premiums: Evidence from Vietnamese ordinary and processing exporters
by Vu, Mai T.P. & Bellone, Flora & Dovis, Marion
- 68-85 The exchange rate, asymmetric shocks and asymmetric distributions
by Demian, Calin-Vlad & di Mauro, Filippo
- 86-107 Governance, value chain positioning and firms' heterogeneous performance: The case of Tuscany
by Giovannetti, Giorgia & Marvasi, Enrico
2018, Volume 153, Issue C
- 11-33 International production networks and the world trade structure
by Cingolani, Isabella & Iapadre, Lelio & Tajoli, Lucia
- 34-41 Value chains in Europe and Asia: Which countries participate?
by Pomfret, Richard & Sourdin, Patricia
- 42-54 Global value chains: New evidence for North Africa
by Del Prete, Davide & Giovannetti, Giorgia & Marvasi, Enrico
- 55-68 Value chains and the great recession: Evidence from Italian and German firms
by Accetturo, Antonio & Giunta, Anna
- 69-79 The puzzle of measuring global value chains – The business statistics perspective
by Nielsen, Peter Bøegh
2017, Volume 152, Issue C
- 1-8 Comment: Inferring trade costs from trade booms and trade busts
by Corlay, Guillaume & Dupraz, Stéphane & Labonne, Claire & Muller, Anne & Antonin, Céline & Daudin, Guillaume
- 9-20 Offshore renminbi trading: Findings from the 2013 Triennial Central Bank Survey
by Cheung, Yin-Wong & Yiu, Matthew S.
- 21-25 Relationships between international tourism and modes of foreign market access
by Tomohara, Akinori
- 26-54 Financial liberalization and systemic banking crises: A meta-analysis
by Hamdaoui, Mekki
- 55-62 An empirical model of diversification cones and wage inequality for the states of Brazil
by Gomes Vale, Eleydiane Maria & deSantos De Frnança, João Mário
- 63-78 On the link between current account and oil price fluctuations in diversified economies: The case of Canada
by Gnimassoun, Blaise & Joëts, Marc & Razafindrabe, Tovonony
- 79-90 Internationalization modes and productivity of Italian manufacturing: Some firm-level evidence
by Capolupo, Rosa & Amendolagine, Vito & Serlenga, Laura
- 91-106 Understanding the decision-making process of sovereign wealth funds: The case of Temasek
by Gnabo, J.Y. & Kerkour, M. & Lecourt, C. & Raymond, H.
- 107-115 Does the J-curve hypothesis hold for a small open economy? Evidence from time-varying coefficients of a distributed-lag model for Tunisia
by Mehdi Jelassi, Mohamed & Trabelsi, Jamel & Turki, Maryem
- 116-123 Central bank policy rates: Are they cointegrated?
by Caporale, Guglielmo Maria & Carcel, Hector & Gil-Alana, Luis
- 124-144 Exchange rate misalignments in energy-exporting countries: Do sovereign wealth funds matter?
by Raymond, Hélène & Coulibaly, Dramane & Omgba, Luc Désiré
2017, Volume 151, Issue C
- 1-6 CO2 emissions, renewable and non-renewable energy consumption, and economic growth: Evidence from panel data for developing countries
by Ito, Katsuya
- 7-25 From natural resource boom to sustainable economic growth: Lessons from Mongolia
by Li, Bin Grace & Gupta, Pranav & Yu, Jiangyan
- 26-47 Manufacturing export diversification and regionalization of trade: Which destinations for newly exported goods?
by Regolo, Julie
- 48-65 The role of confidence shocks in business cycles and their global dimension
by Dees, Stéphane
- 66-70 Dutch disease and Russia
by Ito, Katsuya
- 71-84 On the drivers of inflation in Sub-Saharan Africa
by Nguyen, Anh D.M. & Dridi, Jemma & Unsal, Filiz D. & Williams, Oral H.
- 85-99 A quality-adjusted AIDS model in the study of French imports
by Thanagopal, Dr. Thannaletchimy & Housset, Félix
- 100-112 Adaptive markets hypothesis for Islamic stock indices: Evidence from Dow Jones size and sector-indices
by Charles, Amélie & Darné, Olivier & Kim, Jae H.
2017, Volume 150, Issue C
- 1-18 Spillovers between food and energy prices and structural breaks
by Al-Maadid, Alanoud & Caporale, Guglielmo Maria & Spagnolo, Fabio & Spagnolo, Nicola
- 19-35 Non-linearity in the finance-growth nexus: Evidence from Indonesia
by Soedarmono, Wahyoe & Hasan, Iftekhar & Arsyad, Nuruzzaman
- 36-56 The role of financial conditions in transmitting external shocks to South Africa
by Sithole, Thanda & Simo-Kengne, Beatrice D. & Some, Modeste
- 57-71 Do countries' endowments of non-renewable energy resources matter for FDI attraction? A panel data analysis of 125 countries over the period 1995–2012
by Teixeira, Aurora A.C. & Forte, Rosa & Assunção, Susana
- 72-79 CPI and inflation in Kenya. Structural breaks, non-linearities and dependence
by Gil-Alana, Luis A. & Mudida, Robert
- 80-95 Energy taxes, reforms and income inequality: An empirical cross-country analysis
by Oueslati, Walid & Zipperer, Vera & Rousselière, Damien & Dimitropoulos, Alexandros
2017, Volume 149, Issue C
- 1-14 Crisis, potential output and hysteresis
by Mourougane, Annabelle
- 15-26 Wealth effects on world private financial saving
by Fair, Ray C.
- 27-40 Plant exit and U.S. imports from low-wage countries
by Rigby, David L. & Kemeny, Thomas & Cooke, Abigail
- 41-56 Do preferential trade agreements contribute to the development of trade? Taking into account the institutional heterogeneity
by Saucier, Philippe & Rana, Arslan Tariq
- 57-73 Financial stress and economic dynamics: The case of France
by Aboura, Sofiane & Roye, Bjoern van
- 74-86 A dynamic IS-LM-X model of exchange rate adjustments and movements
by Wang, Peijie
2016, Volume 148, Issue C
- 1-15 Are trade integration and the environment in conflict? The decisive role of countries’ strategic interactions
by Anouliès, Lisa
- 16-30 Exchange rate, political environment and FDI decision
by Deseatnicov, Ivan & Akiba, Hiroya
- 31-40 On financial liberalization and long-run risk sharing
by Holmes, Mark J. & Otero, Jesús
- 41-58 Firms' leverage and export market participation: Evidence from South Korea
by KIM(KILF), Haeng-Sun
- 59-80 Dynamic spillovers between Nigerian, South African and international equity markets
by Fowowe, Babajide & Shuaibu, Mohammed
- 81-94 Terrorism and capital flight from Africa
by Efobi, Uchenna & Asongu, Simplice
2016, Volume 147, Issue C
- 1-26 Economic and political determinants of exchange rate regimes: The case of Latin America
by Rodriguez, Cesar M.
- 27-52 New evidence on the (de)synchronisation of business cycles: Reshaping the European business cycle
by Grigoraş, Veaceslav & Stanciu, Irina Eusignia
- 53-106 Fiscal policy and private investment in Greece
by Kasselaki, Maria Th. & Tagkalakis, Athanasios O.
- 107-125 Does monetary policy matter for trade?
by Wong, Kin-Ming & Chong, Terence Tai-Leung
- 126-144 Is the European banking system robust? An evaluation through the lens of the ECB׳s Comprehensive Assessment
by Arnould, Guillaume & Dehmej, Salim
- 145-154 Forecasting the Great Trade Collapse
by Yilmazkuday, Hakan
2016, Volume 146, Issue C
- 1-11 Evidence on the functional form of inflation and output growth variability relationship in European economies
by Khan, Muhammad
- 12-39 A methodology to estimate the costs of data regulations
by van der Marel, Erik & Bauer, Matthias & Lee-Makiyama, Hosuk & Verschelde, Bert
- 40-58 A self-organizing map analysis of survey-based agents׳ expectations before impending shocks for model selection: The case of the 2008 financial crisis
by Claveria, Oscar & Monte, Enric & Torra, Salvador
- 59-84 Fiscal multipliers in Emerging Market Economies: Can we learn something from Advanced Economies?
by Hory, Marie-Pierre
- 85-107 Burley tobacco clubs in Malawi: Nonmarket institutions for exports
by Negri, Mariano & Porto, Guido G.
- 108-140 Food prices and inflation targeting in emerging economies
by Pourroy, Marc & Carton, Benjamin & Coulibaly, Dramane
- 141-157 The interactive relationship between the US economic policy uncertainty and BRIC stock markets
by Dakhlaoui, Imen & Aloui, Chaker
2016, Volume 145, Issue C
- 1-6 International trade, FDI and growth: some interactions Introduction to the special issue
by Brana, Sophie
- 7-20 Determinants for locating research and development activity in Europe
by Montout, Sylvie & Sami, Mina
- 21-31 Technology spillover and TFP growth: A spatial Durbin model
by Tientao, A. & Legros, D. & Pichery, M.C.
- 32-49 Employment effects of foreign direct investment: New evidence from Central and Eastern European countries
by Jude, Cristina & Silaghi, Monica Ioana Pop
- 50-65 The role of sectoral FDI in promoting agricultural production and improving food security
by Ben Slimane, Mehdi & Huchet-Bourdon, Marilyne & Zitouna, Habib
- 66-91 The effect of macroeconomic instability on FDI flows: A gravity estimation of the impact of regional integration in the case of Euro-Mediterranean agreements
by Chenaf-Nicet, Dalila & Rougier, Eric
- 92-110 Do exchange rate misalignments really affect economic growth? The case of Sub-Saharan African countries
by Owoundi, Ferdinand
2015, Volume 144, Issue C
- 1-28 Product market regulation and wage premia in Europe and North America: An empirical investigation11CEPII and OECD Economics Department, respectively. The authors wish to thank Andrea Bassanini, Ekkehard Ernst, Jørgen Elmeskov, John Martin and participants to the 3rd ECB Labour Market Workshop on “How are wages determined in Europe” for their comments on previous versions of this paper. The views expressed in the paper are personal and do not engage the organisations to which the authors are affiliated
by Jean, Sébastien & Nicoletti, Giuseppe
- 29-52 Africa: Out of debt, into fiscal space? Dynamic fiscal impact of the debt relief initiatives on African Heavily Indebted Poor Countries (HIPCs)
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