Content
August 2023, Volume 56, Issue 4
- 2087-2110 Twin deficits through the looking glass: time-varying analysis in the Euro area
by António Afonso & José Carlos Coelho - 2111-2128 Modeling the effects of renewable energy on sustainable development: evidence from simultaneous equations models
by Zohra Dradra & Chokri Abdennadher - 2129-2167 Bank intermediation margins in transition banking domains: panel evidence from Africa
by Bismark Addai & Wenjin Tang & Adjei Gyamfi Gyimah & Kingsley Opoku Appiah - 2169-2204 How does climate risk affect bank loan supply? Empirical evidence from China
by Shouwei Li & Xin Wu - 2205-2225 Birth policy changes and the sustainability of social medical insurance funds: implications for green growth
by Jingjie Wang & Xiaohong Yu - 2227-2242 An economic analysis of sustainable tourism development in China
by Yuan Chen & Jie Zhang & Hui Chen - 2243-2296 New insights into the growth-maximizing size of government: evidence and implications for Turkey
by Hüseyin Şen & Ayşe Kaya & Ayşegül Durucan - 2297-2314 Student financial support and sustainable recovery based on fuzzy-analytic hierarchy process comprehensive method
by Hua Wei & Lingling Yang - 2315-2338 Stability versus soundness: what matters for women central bank governors?
by Saibal Ghosh - 2339-2383 Population aging and structural over/underinvestment
by Karel Brůna & Jiří Pour - 2385-2404 A sectoral specification of Okun’s law in oil-producing countries: evidence from panel ARDL model
by Mahmoud Kraim & Tamat Sarmidi & Fathin Faizah & Norlin Khalid - 2405-2436 Green recovery of cropland carrying capacity in developed regions: empirical evidence from Guangdong, China
by Wei Fang & Zhenyu Yang & Zhen Liu & Assem Abu Hatab - 2437-2454 Role of banking sector in green economic growth: empirical evidence from South Asian economies
by Yinqiao Li - 2455-2491 Financing and returns of Shari’ah-compliant contracts and sustainable investing in the Islamic banking of Oman
by Faris Alshubiri & Mawih Kareem Ani - 2493-2509 The impact of China’s financial policy on economic resilience during the pandemic period
by Yu Gong - 2511-2527 Ways to promote intra-regional trade and investment in Central Asia to boost the green recovery
by Yanqiu Wu & Yuanjie Pu & Chih-Hung Pai - 2529-2556 Impact of government integrity and corruption on sustainable stock market development: linear and nonlinear evidence from Pakistan
by Kashif Islam & Ahmad Raza Bilal & Zeeshan Saeed & Samina Sardar & Muhammad Husnain Kamboh - 2557-2600 Remittances, economic complexity, and new firms’ creation: empirical evidence from a large sample of countries
by Romano Piras - 2601-2619 Boosting green recovery: the impact of green fiscal policy on green total factor productivity
by Xing Zhao & Yifan Guo & Zhen Liu & Anteng Xiu - 2621-2644 Population aging and working hour impacts on occupational accidents: evidence from Japan
by Nahid Pourrostami & Farhad Taghizadeh-Hesary & Fatemeh Zarezadeh Mehrizi - 2645-2693 Market concentration, agency cost and firm performance: a case study on Indian corporate firms
by Ujjayini Roy & Indrani Chakraborty - 2695-2728 Effects of global energy and price fluctuations on Turkey's inflation: new evidence
by İbrahim Özmen & Şerife Özşahin - 2729-2746 Before the isolation: Russian regional β-convergence 2001–2019 before the pandemic and Ukrainian war
by Vicente German-Soto & Gregory Brock - 2747-2799 Financial inclusion, entrepreneurs’ credit risk exposure and social planner financial policy
by Talnan Aboulaye Toure - 2801-2824 Clean versus dirty electricity generation and economic growth in South Africa: time–frequency study
by Andrew Phiri & Bothwell Nyoni - 2825-2853 Drivers of inflation in Turkey: a new Keynesian Phillips curve perspective
by Mustafa Kocoglu - 2855-2887 The effectiveness of ultra-loose monetary policy in a high inflation economy: a time-varying causality analysis for Turkey
by Mehmet Ulug & Sayım Işık & Mehmet Mert - 2889-2913 How does ESG performance promote corporate green innovation?
by Han Long & Gen-Fu Feng & Chun-Ping Chang - 2915-2915 Correction: Bank intermediation margins in transition banking domains: panel evidence from Africa
by Bismark Addai
June 2023, Volume 56, Issue 3
- 1367-1431 Economic policy uncertainty, governance institutions and economic performance in Africa: are there regional differences?
by Davidmac O. Ekeocha & Jonathan E. Ogbuabor & Oliver E. Ogbonna & Anthony Orji - 1433-1465 Determinants of the innovation efficiency of strategic emerging enterprises: evidence from the robust frontiers
by Weihua Su & Zhen Wang & Chonghui Zhang & Tomas Balezentis - 1467-1514 How credible are Okun coefficients? The gap version of Okun’s law for G7 economies
by Martin Boďa & Mariana Považanová - 1515-1535 Asymmetric effects of global factors on return of cryptocurrencies by novel nonlinear quantile approaches
by Mustafa Tevfik Kartal & Mustafa Kevser & Fatih Ayhan - 1537-1566 Economic growth and pollutant emissions: new panel evidence from the union for the Mediterranean countries
by Mouna Ben Abdeljelil & Christophe Rault & Fateh Belaïd - 1567-1584 An assessment of financial mechanisms for green financial recovery and climate change mitigation: the case of China
by Puxin Liu - 1585-1599 Reversing environmental deterioration: the role of human capital in developing countries
by Anastasia Chondrogianni & Pinelopi Tsalaporta - 1601-1628 Energy, renewable and technical efficiency convergence: a global evidence
by Eirini Stergiou & Nikos Rigas & Eftychia Zaroutieri & Konstantinos Kounetas - 1629-1650 Evaluating economic recovery by measuring the COVID-19 spillover impact on business practices: evidence from Asian markets intermediaries
by Jianhe Wang & Mengxing Cui & Lei Chang - 1651-1682 Financial development, economic growth, globalisation and environmental quality in BRICS economies: evidence from ARDL bounds test approach
by Vaishali S. Dhingra - 1683-1697 The effects of unexpected crude oil price shocks on Chinese stock markets
by Zhao-Yong Sun & Wei-Chiao Huang - 1699-1724 Exploring environmental degradation spillovers in Sub-Saharan Africa: the energy–financial instability nexus
by Donia Aloui & Brahim Gaies & Rafla Hchaichi - 1725-1752 Economic growth, gender inequality, openness of trade, and female labour force participation: a nonlinear ARDL approach
by Rulia Akhtar & Muhammad Mehedi Masud & Nusrat Jafrin & Sharifah Muhairah Shahabudin - 1753-1776 The nexus of military, final consumption expenditures, total reserves, and economic development of Pakistan
by Abdul Rehman & Hengyun Ma & Rafael Alvarado & Fayyaz Ahmad - 1777-1821 Losers and losses of COVID-19: a directed technical change analysis with fiscal and monetary policies
by Oscar Afonso - 1823-1847 The necessity of social infrastructure for enhancing educational attainment: evidence from high remittance recipient LMICs
by Hayot Berk Saydaliev & Lee Chin - 1849-1893 Changes in oil price and economic policy uncertainty and the G7 stock returns: evidence from asymmetric quantile regression analysis
by Salah A. Nusair & Jamal A. Al-Khasawneh - 1895-1924 Re-examining the finance–institutions–growth nexus: does financial integration matter?
by Hazwan Haini & Lutfi Abdul Razak & Pang Wei Loon & Sufrizul Husseini - 1925-1941 Role of credit subsidies and financial intermediation in China and Japan: implications for green economic growth
by Fan Bie & Yixin Xiong & Liequan Zhou & Yunni Li & Xiao Pei - 1943-1969 Mega infrastructure projects and their contribution to sustainable development: the case of the Athens Metro
by Roido Mitoula & Angelos Papavasileiou - 1971-2002 Governance perspective and the effect of economic policy uncertainty on financial stability: evidence from developed and developing economies
by Kishwar Ali & Hu Hongbing & Chee Yoong Liew & Du Jianguo - 2003-2020 Role of the e-exhibition industry in the green growth of businesses and recovery
by Yunfeng Shang & Yuanjie Pu & Yiting Yu & Nan Gao & Yun Lu - 2021-2036 Promoting eco-tourism for the green economic recovery in ASEAN
by Hanzhi Zhang & Qiang Liang & Yu Li & Pengpeng Gao - 2037-2068 Deep regional trade agreement as a driver for global value chains in Africa: the case of ECOWAS region
by Essotanam Mamba & Afi Balaki - 2069-2086 Impact of green finance and environmental protection on green economic recovery in South Asian economies: mediating role of FinTech
by YunQian Zhang
April 2023, Volume 56, Issue 2
- 701-732 On the asymmetric effects of exchange rate volatility on the U.S. Bilateral Trade with its 12 South American partners
by Mohsen Bahmani-Oskooee & Augustine C. Arize & Ebere Ume Kalu - 733-748 The effects of two benchmarks on Russian crude oil prices
by Goktug Sahin & Nukhet Dogan & M. Hakan Berument - 749-780 The growth effects of economic and political institutions: new evidence from spatial econometrics analysis using historical-based institutional matrix
by Mahyudin Ahmad & Stephen G. Hall - 781-801 Government effectiveness and inequality in Italian regions
by Cristian Barra & Anna Papaccio & Nazzareno Ruggiero - 803-824 Macroeconomic effects of oil price shocks on an emerging market economy
by Rodrigo da Silva Souza & Leonardo Bornacki Mattos - 825-857 Can smart transportation enhance green development efficiency?
by Congyu Zhao & Kangyin Dong & Farhad Taghizadeh-Hesary - 859-878 How does green economic recovery impact social and financial performance?
by Yunpeng Sun & Weimin Guan & Hong Jiang & Jiayu Yang - 879-917 Does financial development cause sustainable development? A PVAR approach
by Kumar Debasis Dutta & Mallika Saha - 919-940 Manufactured exports, disaggregated imports and economic growth: the case of Kuwait
by Athanasia Stylianou Kalaitzi & Trevor W. Chamberlain - 941-958 COVID-19 and its impact on tourism sectors: implications for green economic recovery
by Yunfeng Shang & Pan Qi & Hui Chen & Qin Yang & Yuan Chen - 959-980 Regional inflation spillovers in Turkey
by Mustafa Çakır - 981-1006 Exploring the external forces driving green environmental innovation: empirical evidence from Asian market
by Umar Farooq - 1007-1031 Time-varying causality between oil price and exchange rate in five ASEAN economies
by Mustafa Kocoglu & Phouphet Kyophilavong & Ashar Awan & So Young Lim - 1033-1061 Explaining macroeconomic fluctuations in Ethiopia: the role of monetary and fiscal policies
by Alemu Lambamo Hawitibo - 1063-1081 Assessment of environmental tax and green bonds impacts on energy efficiency in the European Union
by Ying Li & Mi Zhou & Huaping Sun & Jia Liu - 1083-1112 More economic growth with the better public health? Evidence from Western China
by Jing Zhao & Xiaoru Zuo & Chun-Ping Chang - 1113-1146 The impact of artificial intelligence on total factor productivity: empirical evidence from China’s manufacturing enterprises
by Ke-Liang Wang & Ting-Ting Sun & Ru-Yu Xu - 1147-1183 Semi-endogenous growth in a non-Walrasian DSEM for Brazil: estimation and simulation of changes in foreign income, human capital, R&D, and terms of trade
by Thomas H. W. Ziesemer - 1185-1199 Assessing the impact of green energy and finance on environmental performance in China and Japan
by Abdulrasheed Zakari & Bahareh Oryani & Rafael Alvarado & Kadir Mumini - 1201-1223 The arbitrage strategy in the crude oil futures market of shanghai international energy exchange
by Jing Niu & Chao Ma & Chun-Ping Chang - 1225-1241 Measuring the combining effects of financial stability and climate risk for green economic recovery
by Na Li - 1243-1261 Covid-19 impact on financial growth and guidelines for green recovery in BRICS: fresh insights from econometric analysis
by Xiaodong Huang & Chang Lei - 1263-1295 Assessing the role of foreign direct investment in environmental sustainability: a spatial semiparametric panel approach
by Qichang Xie & Yingkun Yan & Xu Wang - 1297-1326 Is the floating exchange rate a shock absorber in Albania? Evidence from SVAR models
by Ilir Miteza & Altin Tanku & Ilir Vika - 1327-1366 Do technological innovation, foreign investment, trade and human capital have a symmetric effect on economic growth? Novel dynamic ARDL simulation study on Bangladesh
by Preethu Rahman & Zhihe Zhang & Mohammad Musa
February 2023, Volume 56, Issue 1
- 1-27 Anti-pandemic restrictions, uncertainty and sentiment in seven countries
by Wojciech Charemza & Svetlana Makarova & Krzysztof Rybiński - 29-56 The determinants of China’s outward foreign direct investment: a vector error correction model analysis of coastal and landlocked countries
by Yanfeng Liu & Miao Su & Jinjing Zhao & Sally Martin & Kum Fai Yuen & Choong-Bae Lee - 57-78 Impact of Covid-19 on economic recovery: empirical analysis from China and global economies
by Hongsheng Zhang & Wen-Qi Luo & Shangzhao Yang & Jinna Yu - 79-109 How does anti-corruption policy affect the sensitivity of green innovation to executive incentives?
by Xu Wang & Xu Chu & Chien-Chiang Lee - 111-128 Information moderation principle on the regulatory sandbox
by Xiaohui Chen - 129-158 Distribution of credit-risk concentration in particular sectors of the economy, and economic capital before and during the COVID-19 pandemic
by Natalia Nehrebecka - 159-179 Labor mobility and business cycle synchronization in Southern Africa
by Krzysztof Beck & Ntokozo Patrick Nzimande - 181-214 E-government and the impact of remittances on new business creation in developing countries
by Usman Alhassan - 215-236 Immigration and GDP nexus: is the association asymmetric?
by Khalid M. Kisswani & Saleheen Khan - 237-263 Does foreign direct investment matter for environmental innovation in African economies?
by Olabanji Benjamin Awodumi - 265-295 Relationship among Covid-19, stock price and green finance markets pragmatic evidence from volatility dynamics
by Cong Ma & Mui Yee Cheok - 297-326 Does an asymmetric nexus exist between exports and economic growth in Pakistan? Recent evidence from a nonlinear ARDL approach
by Adeel Saleem & Maqbool H. Sial & Ahmed Raza Cheema - 327-344 The effect of policy stability on clean energy investment
by Yunpeng Wang & Chun-Ping Chang - 345-378 The role of institutional investors in the financial development
by Alin Marius Andrieş & Mihaela Brodocianu & Nicu Sprincean - 379-407 Income inequality, economic growth, and structural changes in Egypt: new insights from quantile cointegration approach
by Ibrahim Mohamed Ali Ali - 409-440 Financial inclusion and poverty alleviation: an empirical examination
by Sumanta Kumar Saha & Jie Qin - 441-472 Evaluating local fiscal capacity and fiscal effort of Turkish local governments: Evidence from spatial panel data analysis
by Mustafa Kiziltan & Ahmet Burcin Yereli - 473-514 Forecasting inflation with excess liquidity and excess depreciation: the case of Angola
by Miguel Lebre de Freitas - 515-535 Black-Litterman model with copula-based views in mean-CVaR portfolio optimization framework with weight constraints
by Tamara Teplova & Mikova Evgeniia & Qaiser Munir & Nataliya Pivnitskaya - 537-580 Risk allocation in energy infrastructure PPPs projects in selected African countries: does institutional quality, PPPs experience and income level make a difference?
by Jeffrey Kouton & Wilfried Sanogo & Nandi Djomgoue - 581-608 Does political risk undermine environment and economic development in Pakistan? Empirical evidence from China–Pakistan economic corridor
by Junaid Ashraf - 609-631 Dynamic connectedness of green bond with financial markets of European countries under OECD economies
by Miklesh Yadav & Nandita Mishra & Shruti Ashok - 633-656 The relationship between education and vulnerability to poverty in South Africa
by Nicholas Ngepah & Tsholofelo Makgalemele & Charles Shaaba Saba - 657-680 The technological role in the growth-enhancing financial development: evidence from African nations
by Ekundayo Peter Mesagan & Xuan Vinh Vo & Precious Muhammed Emmanuel - 681-700 Sectoral volatility spillovers and their determinants in Vietnam
by Tam Hoang-Nhat Dang & Nhan Thien Nguyen & Duc Hong Vo
November 2022, Volume 55, Issue 4
- 2031-2050 Ways to achieve universal access to sustainable electricity in Southeast Asia
by Farhad Taghizadeh-Hesary & Ehsan Rasoulinezhad & Han Phoumin - 2051-2080 The moderating role of financial development in the globalization-sustainable development nexus in some selected African Countries
by Titus A. Ojeyinka & Tolulope T. Osinubi - 2081-2110 Commodity price shocks and the balance sheet effect in emerging economies
by Alejandro Torres-García & Jaime Montoya-Arbeláez & Laura Wberth-Escobar - 2111-2136 Global uncertainty, economic governance institutions and foreign direct investment inflow in Africa
by Oliver E. Ogbonna & Jonathan E. Ogbuabor & Charles O. Manasseh & Davidmac O. Ekeocha - 2137-2170 Asymmetric oil price shocks and the economies of selected oil-exporting African countries: a global VAR approach
by D. O. Olayungbo & Chisom Umechukwu - 2171-2178 A note on the relative productivity drivers of economists: a probit/logit approach for six European countries
by Stelios Katranidis & Theodore Panagiotidis & Kostas Zontanos - 2179-2213 Fiscal policy and the development of green transportation infrastructure: the case of China's high-speed railways
by Zoey Wong & Afei Chen & Chenrong Shen & Dailong Wu - 2215-2235 Testing the impact of fiscal policies for economic recovery: does monetary policy act as catalytic tool for economic Survival
by Baihua Yuan & Wang Leiling & Hayot Berk Saydaliev & Vishal Dagar & Ángel Acevedo-Duque - 2237-2261 Assessing the effectiveness of tax administration in macroeconomic stability: evidence from 26 European Countries
by Anastasiou Athanasios & Kalligosfyris Charalampos & Kalamara Eleni - 2263-2292 Market power, efficiency and stability of Indian banks
by Biswa Swarup Misra & Paolo Coccorese - 2293-2315 Time–frequency nexus between globalization, financial development, natural resources and carbon emissions in Vietnam
by Ngo Thai Hung - 2317-2336 ICT, trade openness and economic growth in Tunisia: what is going wrong?
by Mounir Dahmani & Mohamed Mabrouki & Adel Ben Youssef - 2337-2358 Nexus between income inequality and consumption of renewable energy in India: a nonlinear examination
by Rajesh Sharma & Surendra Singh Rajpurohit - 2359-2389 Financial inclusion and green economic performance for energy efficiency finance
by Zhen Liu & Trong Lam Vu & Thi Thu Hien Phan & Thanh Quang Ngo & Nguyen Ho Viet Anh & Ahmad Romadhoni Surya Putra - 2391-2421 Symmetric and asymmetric nexus between economic freedom and stock market development in Pakistan
by Kashif Islam & Ahmad Raza Bilal & Syed Anees Haider Zaidi - 2423-2443 Nexus between fiscal imbalances, green fiscal spending, and green economic growth: empirical findings from E-7 economies
by Ming Fang & Chiu-Lan Chang - 2445-2478 Modelling composition of growth, FDI and welfare in Africa: a SEM approach
by Anayochukwu Basil Chukwu & Adeolu O. Adewuyi & Adebowale M. Adeleke & Banji B. Awodumi & Tobechi F. Agbanike - 2479-2498 Impact of environmental taxes on remanufacturing decisions of a duopoly
by You Qiu & Youliang Jin - 2499-2526 Does China’s green economic recovery generate a spatial convergence trend: an explanation using agglomeration effects and fiscal instruments
by Qunxi Kong & Rongrong Li & Y. Ni & Dan Peng - 2527-2545 Uncertainty and technological innovation: evidence from developed and developing countries
by Yogeeswari Subramaniam & Nanthakumar Loganathan - 2547-2575 Trade openness-industrialization nexus revisited in Africa
by Dieudonné Mignamissi & Bernard Nguekeng - 2577-2603 Local governments’ environmental emphasis and corporate green innovation: evidence from China
by Yueyang Zhao & Jinzhou Mao & Yueshan Li - 2605-2630 Testing for unemployment persistence in Nigeria
by Ebuh U. Godday & Nuruddeen Usman & Afees A. Salisu - 2631-2661 Responding to the environmental effects of remittances and trade liberalization in net-importing economies: the role of renewable energy in Sub-Saharan Africa
by Chinazaekpere Nwani & Andrew Adewale Alola & Chimobi Philip Omoke & Bosede Ngozi Adeleye & Festus Victor Bekun - 2663-2685 Role of e-commerce and resource utilization for sustainable business development: goal of economic recovery after Covid-19
by Mo Chen & Rabia Bashir
August 2022, Volume 55, Issue 3
- 1251-1302 Economic growth and the state of poverty in India: sectoral and provincial perspectives
by Tarlok Singh - 1303-1325 Modelling macroeconomic trilemma and central bank behaviour in Nigeria: a Markov-switching approach
by Taofeek Olusola Ayinde - 1327-1363 Bi-demographic and current account dynamics using SVAR model: evidence from Saudi Arabia
by Hassan B. Ghassan & Hassan R. Alhajhoj & Faruk Balli - 1365-1395 Exploring the nexus between tax revenues, government expenditures, and climate change: empirical evidence from Belt and Road Initiative countries
by Peng Yuelan & Muhammad Waqas Akbar & Zeenat Zia & Muhammad Imran Arshad - 1397-1418 Japan-US bilateral commodity-level trade and trade policy-related uncertainty under the COVID-19 pandemic: the nonlinear ARDL model
by Serdar Ongan & Ismet Gocer - 1419-1444 Does outward foreign direct investment crowd in or crowd out domestic investment in central, east and southeast europe countries? an asymmetric approach
by Safet Kurtović & Nehat Maxhuni & Blerim Halili & Bujar Krasniqi - 1445-1480 Carbon emissions trading policy, carbon finance, and carbon emissions reduction: evidence from a quasi-natural experiment in China
by Qianqian Guo & Zhifang Su & Chaoshin Chiao - 1481-1496 Restrictions on temporary employment and informality among young: evidence from Turkey
by Altan Aldan & Muhammet Enes Çıraklı - 1497-1542 Whose policy uncertainty matters in the trade between China and the U.S.?
by Mohsen Bahmani-Oskooee & Jia Xu - 1543-1553 Dissecting Turkish inflation: theory, fact, and illusion
by Zeynep Kantur & Gülserim Özcan - 1555-1585 Monetary policy transmission and income inequality in Sub-Saharan Africa
by Johnson Worlanyo Ahiadorme - 1587-1627 Infrastructure threshold and economic growth in Africa: do income level and geography matter?
by Kalu Ojah & Stella Muhanji & Odongo Kodongo - 1629-1653 Innovation, financial development, and growth: evidences from industrial and emerging countries
by Su-Yin Cheng & Han Hou - 1655-1672 Estimating asymmetries in monetary policy reaction function: an oil price augmented Taylor type rule for Nigeria under unconventional regime
by Patricks Ogiji & Tersoo Shimonkabir Shitile & Nuruddeen Usman - 1673-1699 Changing efficiency of BRICS currency markets during the COVID-19 pandemic
by Andrew Phiri - 1701-1715 Economic policy uncertainty and growth nexus in Pakistan: a new evidence using NARDL model
by Jun Wen & Samia Khalid & Hamid Mahmood & Xiuyun Yang - 1717-1737 Does external debt as a new determinants of fiscal policy influence sustainable economic growth: implications after COVID-19
by Fengsheng Chien & Ka Yin Chau & Talla M. Aldeehani & Pham Quang Huy & Luc Phan Tan & Muhammad Mohsin - 1739-1766 Industrialization, FDI and absorptive capacities: evidence from African Countries
by Sami Ben Mim & Abir Hedi & Mohamed Sami Ben Ali - 1767-1814 Disaggregating the environmental effects of renewable and non-renewable energy consumption in South Africa: fresh evidence from the novel dynamic ARDL simulations approach
by Maxwell Chukwudi Udeagha & Nicholas Ngepah - 1815-1873 Market structure and power: comparative empirical evidence from a dual banking system
by Rafik Harkati & Syed Musa Alhabshi & Salina Kassim & Noraini Mohd Ariffin - 1875-1912 The role of older workers in population aging–economic growth nexus: evidence from developing countries
by Siow Li Lai & Tien Ming Yip - 1913-1952 The impacts of climate change on bank performance: What’s the mediating role of natural disasters?
by Wan-Li Zhang & Chun-Ping Chang & Yang Xuan - 1953-1971 Vertical fiscal imbalance and government spending on science and technology in China
by Liangliang Liu & Wenqing Zhang - 1973-2010 Presidential approval in Peru: an empirical analysis using a fractionally cointegrated VAR
by Alexander Boca Saravia & Gabriel Rodríguez - 2011-2030 The impact of FDI on income inequality in Egypt
by Hebatalla Rezk & Goma Amer & Nahla Fathi & Sizhong Sun
May 2022, Volume 55, Issue 2
- 543-576 Corruption and economic growth: does the size of the government matter?
by António Afonso & Eduardo Sá Fortes Leitão Rodrigues - 577-606 Foreign Direct Investment, Institution and Industrialisation in Sub-Saharan Africa
by Musa Oduola & Mustapha O. Bello & Rahmon Popoola - 607-634 A Schumpeterian growth model on the effect of development banking on growth
by Reynaldo Senra Hodelin - 635-652 Exchange rate volatility and regional trade agreements in Southern Africa
by Kore Marc Guei & Ireen Choga - 653-679 The impacts of executives’ political connections on interactions between firm’s mergers, acquisitions, and performance
by Shuangyan Li & Anum Shahzadi & Mingbo Zheng & Chun-Ping Chang - 681-714 The financial competition, concentration and structure of financial performance nexus in the financial sector of Oman
by Faris Alshubiri - 715-736 Estimating production gains from international cooperation: Evidence from countries along the Belt and Road
by Ning Zhu & Xiang Dai & Tomas Baležentis & Dalia Streimikiene & Zhiyang Shen - 737-774 Impact of financial leverage on sustainable growth, market performance, and profitability
by Muhammad Akhtar & Kong Yusheng & Muhammad Haris & Qurat Ul Ain & Hafiz Mustansar Javaid - 775-801 A dynamic analysis of the income–pollution relationship in a two-country setting
by Eleftherios Filippiadis & Anastasia Litina - 803-836 The performance of private companies in China before and during the global financial crisis: firms’ characteristics and entrepreneurs’ attributes
by Andrea Fracasso & Kun Jiang - 837-874 Carbon dioxide emissions, financial development and political institutions
by Dong-Hyeon Kim & Yi-Chen Wu & Shu-Chin Lin - 875-902 Are private property rights better? evidence from the marketization of land rentals in rural China
by Tongwei Qiu & Xianlei Ma & Biliang Luo - 903-929 The moderating effect of institutions in foreign direct investment led growth hypothesis in Nigeria
by James Temitope Dada & Ezekiel Olamide Abanikanda - 931-950 Public infrastructural development and economic performance in Africa: a new evidence from panel data analysis
by Davidmac O. Ekeocha & Jonathan E. Ogbuabor & Anthony Orji - 951-972 Crude oil prices pass-through to retail petroleum product prices in Nigeria: evidence from hidden cointegration approach
by D. O. Olayungbo & T. A. Ojeyinka - 973-1004 Extortion, competition among states and private investment in a federation: evidence from Indian manufacturing sector
by Vivekananda Mukherjee & Paramita Mukherjee & Saheli Bose - 1005-1062 Macroprudential policies and income inequality in former transition economies
by Panagiotis Konstantinou & Anastasios Rizos & Artemis Stratopoulou - 1063-1090 Can foreign trade and technological innovation affect green development: evidence from countries along the Belt and Road
by Yingzhi Xu & Biying Dong & Zihao Chen - 1091-1108 Asymmetric response of cpi inflation to exchange rates in oil-dependent developing economy: the case of Nigeria
by Perekunah. B. Eregha - 1109-1139 Do growth-promoting factors induce income inequality in a transitioning large developing economy? An empirical evidence from Indian states
by Amit Nandan & Hrushikesh Mallick - 1141-1172 The impact of macroeconomic and structural factors on the unemployment of young women and men
by Beata Bal-Domańska - 1173-1206 Resource curse for human development?
by Youssouf Kiendrebeogo & Farrukh Iqbal - 1207-1228 Heterogeneity of market power: firm-level evidence
by Ensar Yılmaz & Zeynep Kaplan - 1229-1248 Macroeconomic determinants of remittances to India
by P. Jijin & Alok Kumar Mishra & M. Nithin - 1249-1250 Correction to: Explaining regional inflation programmes in Indonesia: Does inflation rate converge?
by Rudi Purwono & Mohammad Zeqi Yasin & M. Khoerul Mubin
February 2022, Volume 55, Issue 1
- 1-71 Oil price changes and wages: a nonlinear and asymmetric approach
by Nyakundi M. Michieka & Richard S. Gearhart - 73-82 Impact of US monetary policy uncertainty on Asian exchange rates
by Donghyun Park & Irfan Qureshi & Shu Tian & Mai Lin Villaruel - 83-108 The role of capital taxation on the business cycle: the case of Chile, 1960–2019
by Rodrigo A. Cerda & José Tomás Valente - 109-151 Nexus between defence spending, economic growth and development: evidence from a disaggregated panel data analysis
by Charles Shaaba Saba & Nicholas Ngepah - 153-191 On the transmission mechanisms in the finance–growth nexus in Southern African countries: Does institution matter?
by Clement Olalekan Olaniyi - 193-224 Foreign aid and entrepreneurship in Africa: the role of remittances and institutional quality
by Folorunsho M. Ajide & Tolulope T. Osinubi - 225-255 The asymmetric effects of exchange rate volatility on US–Pakistan trade flows: new evidence from nonlinear ARDL approach
by Javed Iqbal & Sabahat Aziz & Misbah Nosheen - 257-284 The role of technology in the non-renewable energy consumption-quality of life nexus: insights from sub-Saharan African countries
by Ridwan Lanre Ibrahim & Omokanmi Olatunde Julius & Ifeoma Chinenye Nwokolo & Kazeem Bello Ajide - 285-310 Determinants of foreign direct investment in Southern Central Coast of Vietnam: a spatial econometric analysis
by Hong Hiep Hoang & Cong Minh Huynh & Nguyen Minh Huy Duong & Ngoc Hoe Chau - 311-333 Re-examining the effect of financial markets and institutions on economic growth: evidence from the OECD countries
by Kulvinder Purewal & Hazwan Haini - 335-359 On the link between Chinese currency and its inpayments from and outpayments to trading partners: an asymmetric analysis
by Mohsen Bahmani-Oskooee & Jia Xu - 361-400 On the relationship between Asian exchange rates and stock prices: a nonlinear analysis
by Salah A. Nusair & Jamal A. Al-Khasawneh - 401-431 The implications of public expenditures on a small economy in transition: a Bayesian DSGE approach
by Binh Thai Pham & Hector Sala - 433-484 Impact of COVID-19 pandemic on the energy markets
by Imlak Shaikh - 485-509 Does green finance improve energy efficiency? New evidence from developing and developed economies
by Mingzhe Yu & Qiang Zhou & Mui Yee Cheok & Jakub Kubiczek & Nadeem Iqbal - 511-537 Do exchange rate changes have threshold effects on the trade balance? Evidence from Tunisia
by Makrem Ben Doudou & Ridha Nouira & Sami Saafi & Aram Belhadj - 539-539 Correction to: Do exchange rate changes have threshold effects on the trade balance? Evidence from Tunisia
by Makrem Ben Doudou & Ridha Nouira & Sami Saafi & Aram Belhadj - 541-541 Correction to: On the link between Chinese currency and its inpayments from and outpayments to trading partners: an asymmetric analysis
by Mohsen Bahmani-Oskooee & Jia Xu
November 2021, Volume 54, Issue 4
- 919-941 Trade and growth in developing countries: the role of export composition, import composition and export diversification
by Carlos A. Carrasco & Edgar Demetrio Tovar-García - 943-973 The Turkey-US commodity trade and the asymmetric J-curve
by Mohsen Bahmani-Oskooee & Huseyin Karamelikli