Content
July 2023, Volume 20, Issue 3
- 367-388 Inward foreign direct investment and inclusiveness of growth: will renewable energy consumption make a difference?
by Khadijah Iddrisu & Isaac Ofoeda & Joshua Yindenaba Abor - 389-412 Do trade openness and governance matter for economic growth in Africa? A case of EAC and WAEMU countries
by Ashiru Ibrahim & Michael Rabiu Abdulmalik - 413-423 Fed with import and starved by war: Estimating the consequences of the Russia-Ukraine conflict on cereals trade and global hunger
by Marta Marson & Donatella Saccone - 425-455 Role of the choice of exchange rate regime on real exchange rate misalignments in South Sahara African countries
by Kadjatou Dakoure & Mahamadou Diarra & M. Idrissa Ouedraogo - 457-483 Energy aid volatility across developing countries: a disaggregated sectoral analysis
by Panika Jain & Samaresh Bardhan - 485-508 Positive externalities of the EU cohesion policy: Toward more synchronised CEE countries?
by Benoit Dicharry & Lubica Stiblarova
May 2023, Volume 20, Issue 2
- 235-255 Should the United States rejoin the Trans-Pacific trade deal?
by Ken Itakura & Hiro Lee - 257-278 Economic development through women’s economic rights: a panel data analysis
by Amjad Naveed & Nisar Ahmad & Amber Naz & Aziza Zhuparova - 279-302 A review of inflation expectations and perceptions research in the past four decades: a bibliometric analysis
by Pooja Kapoor & Sujata Kar - 303-326 The dynamic response to trade policy: evidence from the US textile and clothing industries
by Lucas Threinen - 327-365 The multidimensional effect of financial development on the shadow economy in Africa: A dynamic panel analysis approach
by Emmanuel U. Haruna
February 2023, Volume 20, Issue 1
- 1-26 Attracting private capital for development: Are poorer countries less efficient?
by Dominik Naeher & Raghavan Narayanan - 27-93 The CAFTA-DR Free Trade Agreement — Analyzing its effects in a modern gravity framework
by Juan René Rojas Rodríguez & Xenia Matschke - 95-138 The European carbon border adjustment mechanism: a small step in the right direction
by Niko Korpar & Mario Larch & Roman Stöllinger - 139-161 Compulsory education and fertility: evidence from Poland’s education reform in 1956
by Stefani Milovanska-Farrington & Stephen Farrington - 163-187 The effect of trade sanctions on employment through total factor productivity
by Javad Nosratabadi - 189-212 Technical regulations and exporters’ dynamics: evidence from developing countries
by Valentina Rollo - 213-231 Financial integration in Asia: new Empirical evidence using dynamic panel data estimations
by Burak Erkut & Gagan Deep Sharma - 233-234 Correction: The capital tax paradox in a greening economy
by Kirill Borissov & Lucas Bretschger & Aleksey Minabutdinov
October 2022, Volume 19, Issue 4
- 645-673 Gas price caps and electricity production effects in the context of the Russo-Ukrainian War: modeling and new policy reforms
by Werner Roeger & Paul J. J. Welfens - 675-717 Export diversification and financial openness
by Sèna Kimm Gnangnon - 719-739 The effect of child benefits on financial difficulties and spending habits: evidence from Poland’s Family 500 + program
by Stefani Milovanska-Farrington - 741-759 OECD countries’ twin long-run challenge: The impact of aging dynamics and increasing natural disasters on savings ratios
by Tian Xiong & Kaan Celebi & Paul J. J. Welfens - 761-781 Oil price shocks and global liquidity: macroeconomic effects on the Brazilian real
by Rodrigo da Silva Souza & Leonardo Bornacki Mattos - 783-823 FDI, liquidity, and political uncertainty: A global analysis
by Marvin Jahn & Paul Stricker - 825-862 Business cycle characteristics of Mediterranean economies: a secular trend and cycle dynamics perspective
by Anna Solms & Bernd Süssmuth - 863-883 Foreign macroeconomic conditions and antidumping actions: evidence from the USA
by Koichi Kagitani & Yasunobu Tomoda - 885-912 Should they stay or should they go? Negative interest rate policies under review
by Joscha Beckmann & Klaus-Jürgen Gern & Nils Jannsen
July 2022, Volume 19, Issue 3
- 411-436 Good institutions, more FDI? Evidence from Indian firm-level data
by Munmi Saikia - 437-458 Factors affecting bank loan quality: a panel analysis of emerging markets
by Petr Jakubik & Eyup Kadioglu - 459-490 Did the great influenza of 1918–1920 trigger a reversal of the first era of globalization?
by Pierre L. Siklos - 491-536 Transmission mechanisms of conventional and unconventional monetary policies in open economies
by Ivan Hajdukovic - 537-556 A general equilibrium model of Value Added Tax evasion: an application to Pakistan
by Andrew Feltenstein & Jorge Martinez-Vazquez & Biplab Datta & Sohani Fatehin - 557-579 The past, present and future of euro area monetary-fiscal interactions
by Karl Whelan - 581-614 Environmental policy and convexity of climate change damage functions: an experiment with New Keynesian DSGE model
by Samuel Kwesi Dunyo - 615-643 A time series approach to study the dynamic effects of bilateral trade agreements
by Blanca Jiménez-García & Julio Rodríguez
May 2022, Volume 19, Issue 2
- 239-243 Special issue of the journal international economics and economic policy: international economics, climate policy innovations and economic policy (IEEP, issue 2)
by Lucas Bretschger & Paul J. J. Welfens - 245-266 The macroeconomic effects of import tariffs in a model with multinational firms and foreign direct investment
by Werner Roeger & Paul J. J. Welfens - 267-298 The determinants of sovereign risk premiums in the UK and the European government bond market: the impact of Brexit
by Samir Kadiric - 299-313 New COVID-related results for estimating the shadow economy in the global economy in 2021 and 2022
by Friedrich Schneider - 315-329 The capital tax paradox in a greening economy
by Kirill Borissov & Lucas Bretschger & Aleksey Minabutdinov - 331-381 Russia’s invasion of Ukraine: assessment of the humanitarian, economic, and financial impact in the short and medium term
by Vasily Astrov & Mahdi Ghodsi & Richard Grieveson & Mario Holzner & Artem Kochnev & Michael Landesmann & Olga Pindyuk & Robert Stehrer & Maryna Tverdostup & Alexandra Bykova - 383-399 Energy sanctions and the global economy: mandated vs unilateral sanctions
by Christof Rühl - 401-409 The distribution of power within the EU: perspectives on a Ukrainian accession and a Turkish accession
by Werner Kirsch
February 2022, Volume 19, Issue 1
- 1-27 The role of technological capabilities and gap in the cross-country patenting: an empirical investigation
by Aparna Sharma & Ruchi Sharma & Sidheswar Panda - 29-49 Housing and stock market wealth effects in developing economies
by Bhupal Singh - 51-78 Higher wages in exporters and multinational firms evidence from linked employer–employee data
by Ayumu Tanaka - 79-127 Financial spillovers, spillbacks, and the scope for international macroprudential policy coordination
by Pierre-Richard Agénor & Luiz A. Pereira da Silva - 129-155 Motivations behind individuals’ energy efficiency investments and daily energy-saving behavior: The case of China
by J. K. Perret & V. Udalov & N. Fabisch - 157-184 Voluntary corporate climate initiatives and regulatory threat
by Dragan Ilić & Janick Christian Mollet - 185-217 Households’ inflation perceptions and expectations: survey evidence from New Zealand
by Bernd Hayo & Florian Neumeier - 219-238 Global cargo gravitation model: airports matter for forecasts
by Fabian Baier & Peter Berster & Marc Gelhausen
October 2021, Volume 18, Issue 4
- 631-660 Digital and competing information sources: Impact on environmental concern and prospects for international policy cooperation
by Vladimir Udalov & Paul J. J. Welfens - 661-698 Income distribution and total factor productivity: a cross-country panel cointegration analysis
by Delphin Kamanda Espoir & Nicholas Ngepah - 699-719 Foreign exchange market pressure and stock market dynamics in emerging Asia
by Muhammad Aftab & Abid Ali & Scott W. Hegerty - 721-742 The resurgence of currency mismatches: Emerging market economies are not out of the woods yet?
by Hari Venkatesh & Gourishankar S. Hiremath - 743-766 Do conditional cash transfers increase schooling among adolescents?
by Eric Draeger - 767-786 Tolerance of tax evasion
by Alvaro Forteza & Cecilia Noboa - 787-824 International cooperation on financial market regulation
by Michael Abendschein & Harry Gölz - 825-846 Fisher’s hypothesis, survey-based expectations and asymmetric adjustments: Empirical evidence from South Africa
by Andrew Phiri & Lutho Mbekeni - 847-868 International trade and economic growth: evidence from a panel ARDL-PMG approach
by Wajdi Bardi & Mohamed Ali Hfaiedh - 869-899 Does the financial cooperation agreement increase the interdependency among ASEAN+3 equity markets? A Markov switching approach
by Md. Saifur Rahman & Farihana Shahari - 901-925 Asset bubbles, financial sector, and current challenges to regulatory framework
by Akaki Tsomaia
July 2021, Volume 18, Issue 3
- 453-455 How will COVID-19 affect an already fragile global economy?
by Joaquim Oliveira Martins & Werner Roeger - 457-473 How lockdown causes a missing generation of start-ups and jobs
by Shyngys Karimov & Jozef Konings - 475-492 Effects of Covid-19 on Euro area GDP and inflation: demand vs. supply disturbances
by Robert Kollmann - 493-516 Nominal and real interest rates in OECD countries, changes in sight after covid-19?
by Claude Bismut & Ismaël Ramajo - 517-540 Who absorbs the shock? An analysis of the fiscal impact of the COVID-19 crisis on different levels of government
by Sean Dougherty & Pietrangelo Biase - 541-570 Productivity and the pandemic: short-term disruptions and long-term implications
by Klaas Vries & Abdul Erumban & Bart Ark - 571-604 COVID-19 acceleration in digitalisation, aggregate productivity growth and the functional income distribution
by Björn Döhring & Atanas Hristov & Christoph Maier & Werner Roeger & Anna Thum-Thysen - 605-629 Globalization, Freedoms and Economic convergence: an empirical exploration of a trivariate relationship using a large panel
by Jorge Braga Macedo & Joaquim Oliveira Martins & João Tovar Jalles
May 2021, Volume 18, Issue 2
- 247-265 An international reserves variation threshold to increase loan funding
by Wilfredo L. Maldonado & Jorge Guillén & Jussara Ribeiro - 267-307 Quo Vadis, Britain? – Implications of the Brexit process on the UK’s real economy
by Kaan Celebi - 309-329 Can South America form an optimal monetary area? A structural vector autoregression analysis
by León Padilla & Ángel Rodriguez García-Brazales - 331-345 The (pro-) cyclicality of government consumption in the EU and official expectations of future output growth: new evidence
by David Cronin & Kieran McQuinn - 347-377 Does corruption matter for FDI flows in the OECD? A gravity analysis
by Tobias Zander - 379-424 Tax transition in developing countries: do value added tax and excises really work?
by Kodjo Adandohoin - 425-450 International interdependency of macroeconomic activities: a multivariate empirical analysis
by Sanjay Kumar Rout & Hrushikesh Mallick - 451-451 Correction to: International interdependency of macroeconomic activities: a multivariate empirical analysis
by Sanjay Kumar Rout & Hrushikesh Mallick
February 2021, Volume 18, Issue 1
- 1-24 Testing as an approach to control the Corona epidemic dynamics and avoid lockdowns
by Thomas Gries & Paul J. J. Welfens - 25-72 Export market risk and the role of state credit guarantees
by Inga Heiland & Erdal Yalcin - 73-103 U.S. – Italy commodity trade and the J-curve: new evidence from asymmetry analysis
by Mohsen Bahmani-Oskooee & Ridha Nouira - 105-126 Trade openness and industry performance in SADC countries: is the manufacturing sector different?
by Hlalefang Khobai & Clement Moyo - 127-156 Would economic growth affect air pollution in light of the potential transatlantic trade and investment partnership?
by Dhimitri Qirjo & Razvan Pascalau - 157-175 Oil prices, stock market returns, and volatility spillovers: evidence from Saudi Arabia
by Emrah Ismail Cevik & Sel Dibooglu & Atif Awad Abdallah & Eisa Abdulrahman Al-Eisa - 177-222 Measuring financial knowledge: a macroeconomic perspective
by Francisco J. Oliver-Márquez & Almudena Guarnido-Rueda & Ignacio Amate-Fortes - 223-244 Drivers of inflation-linked public debt: an empirical investigation
by Patricia Gomez-Gonzalez - 245-245 Correction to: Exportmarket risk and the role of state credit guarantees
by Inga Heiland & Erdal Yalcin
October 2020, Volume 17, Issue 4
- 799-800 Editors’ note
by Christian Richter & Paul J. J. Welfens & Holger C. Wolf - 801-847 COVID-19 infections and fatalities developments: empirical evidence for OECD countries and newly industrialized economies
by Lucas Bretschger & Elise Grieg & Paul J. J. Welfens & Tian Xiong - 849-876 Export product diversification and tax performance quality in developing countries
by Sèna Kimm Gnangnon - 877-895 The effects of trade deficit on output and employment: evidence from the U.S.’s economy
by Tuan Viet Le & William Baker - 897-922 Constituency systems, election proximity, special interests and a free trade agreement: the case of the Trans-Pacific Partnership in Japan
by Koichi Kagitani & Kozo Harimaya - 923-944 Trade and economic development: global causality and development- and openness-related heterogeneity
by T. Gries & M. Redlin
July 2020, Volume 17, Issue 3
- 555-561 Regional integration in the EU and ASEAN in the period of declining multilateralism and corona shocks
by Suthiphand Chirathivat & Natthanan Kunnamas & Paul JJ Welfens - 563-634 Trump’s Trade Policy, BREXIT, Corona Dynamics, EU Crisis and Declining Multilateralism
by Paul J. J. Welfens - 635-658 British exceptionalism: pride and prejudice and Brexit
by Andrew J. Crozier - 659-670 ASEAN and the EU Challenged by “Divide and Rule” Strategies of the US and China Evidence and Possible Reactions
by Suthiphand Chirathivat & Rolf J. Langhammer - 671-685 Shaping ocean governance: a study of EU normative power on Thailand’s sustainable fisheries
by Ajaree Tavornmas & Kasira Cheeppensook - 687-704 The quest for infrastructure development from a “market creation” perspective: China’s “Belt and Road”, Japan’s “Quality Infrastructure” and the EU’s “Connecting Europe and Asia”
by Werner Pascha - 705-726 ASEAN and the EU: an assessment of interregional trade potentials
by Evelyn S. Devadason & Shujaat Mubarik - 727-745 EU-ASEAN relations in the 2020s: pragmatic inter-regionalism?
by Julie Gilson - 747-764 ASEAN in the South China Sea conflict, 2012–2018: A lesson in conflict transformation from normative power Europe
by K. Cheeppensook - 765-781 Normative power Europe, ASEAN and Thailand
by Natthanan Kunnamas - 783-798 Opportunities in ASEAN-EU economic cooperation
by Marissa Maricosa A. Paderon
May 2020, Volume 17, Issue 2
- 295-362 Macroeconomic and health care aspects of the coronavirus epidemic: EU, US and global perspectives
by Paul J. J. Welfens - 363-380 The amplifier/divider mechanism of the financial cycle
by Omar Chafik - 381-407 US non-linear causal effects on global equity indices in Normal times versus unconventional eras
by Stephanos Papadamou & Νikolaos A. Kyriazis & Panayiotis G. Tzeremes - 409-425 Credit market conditions and impact of monetary policy in a developing economy context
by Rozina Shaheen - 427-482 Asymmetric cointegration and the J-curve: new evidence from commodity trade between the U.S. and Canada
by Mohsen Bahmani-Oskooee & Hadiseh Fariditavana - 483-501 Volatility transmission between commodities and Ibovespa in the period 2000–2016: Is there a possibility of diversification?
by Pedro Raffy Vartanian - 503-530 Examining the asymmetric monetary policy response to foreign exchange market conditions in emerging and developing economies
by Helena Glebocki Keefe & Hedieh Shadmani - 531-554 Measuring fiscal sustainability in the welfare state: fiscal space as fiscal sustainability
by Hyejin Ko
February 2020, Volume 17, Issue 1
- 1-24 Impacts of conventional and unconventional US monetary policies on global financial markets
by Shigeki Ono - 25-65 Convergence of retail banking interest rates to households in euro area: time-varying measurement and determinants
by Priyanshi Gupta & Sanjay Sehgal - 67-124 Exchange-rate volatility and commodity trade between the U.S. and Germany: asymmetry analysis
by Mohsen Bahmani-Oskooee & Ridha Nouira & Sami Saafi - 125-165 The tipping point of financial development? – evidence from OECD countries
by Vighneswara Swamy & Dharani M - 167-218 Tradability of output and the current account in Europe
by Roman Stöllinger - 219-239 One-way effect or multiple-way causality: foreign direct investment, institutional quality and shadow economy?
by Cong Minh Huynh & Vu Hong Thai Nguyen & Hoang Bao Nguyen & Phuc Canh Nguyen - 241-258 Renewable and non-renewable energy consumption and economic growth in G7 countries: evidence from panel autoregressive distributed lag (P-ARDL) model
by Jaganath Behera & Alok Kumar Mishra - 259-294 EU-US trade post-trump perspectives: TTIP aspects related to foreign direct investment and innovation
by Andre Jungmittag & Paul J. J. Welfens
October 2019, Volume 16, Issue 4
- 563-564 Transitions
by Paul J. J. Welfens & Christian Richter & Holger C. Wolf - 565-591 Structural determinants of potential output growth in Europe and the role of fiscal policy
by Roberta Santis & Piero Esposito & Elena Masi - 593-617 New Marshall-Lerner conditions for an economy with outward and two-way foreign direct investment
by Paul J. J. Welfens - 619-647 How sensitive are the U.S. inpayments and outpayments to real exchange rate changes: an asymmetry analysis
by Mohsen Bahmani-Oskooee & Hadiseh Fariditavana - 649-678 Does monetary policy credibility mitigate the effects of uncertainty about exchange rate on uncertainties about both inflation and interest rate?
by Gabriel Caldas Montes & Caio Ferrari Ferreira - 679-699 Impacts of exchange rate non-linearity on Brazilian foreign trade
by Lucas dos Santos Lourenço & Claudio Roberto Fóffano Vasconcelos - 701-719 On the co-movements among gold and other financial markets: a multivariate time-varying asymmetric approach
by Riadh Abed & Amna Zardoub
July 2019, Volume 16, Issue 3
- 463-465 Recent challenges of the European integration: an introduction
by Cândida Ferreira & Camélia Turcu - 467-488 The impact of regional trade agreements on European exports
by Zuzanna Studnicka & Wouter Thierie & Jan Van Hove - 489-509 The interaction between trade and FDI: The CEECs experience
by Claudiu Tiberiu Albulescu & Daniel Goyeau - 511-534 Human capital and productivity growth in a services economy: Some insights from the Portuguese case
by Marta C. N. Simões & Adelaide Duarte & João Sousa Andrade - 535-562 Lessons from the Strukturwandel in the Ruhrgebiet: turning Northern Greece into an industrial champion?
by Ansgar Belke & Nicos Christodoulakis & Daniel Gros
April 2019, Volume 16, Issue 2
- 269-291 The validity of Wagner’s Law in the United Kingdom during the Last Two Centuries
by Dimitrios Paparas & Christian Richter & Ioannis Kostakis - 293-333 Service trade restrictiveness and internationalisation of retail trade
by Andre Jungmittag - 335-356 Asymmetric impacts of foreign exchange rate on the demand for money in Turkey: new evidence from nonlinear ARDL
by Mouyad Alsamara & Zouhair Mrabet - 357-377 Expectation shocks and fiscal rules
by Dennis Wesselbaum - 379-396 The perceived benefits of the European Union standardization. An exploration according to firm size and firm capabilities
by Dendi Ramdani & Arjen Witteloostuijn & Johanna Vanderstraeten & Julie Hermans & Marcus Dejardin - 397-416 Saving and investment causality: implications for financial integration in transition countries of Eastern Europe
by Manuchehr Irandoust - 417-433 Central bank transparency and sovereign risk ratings: a panel data approach
by Gabriel Caldas Montes & Diego Silveira Pacheco Oliveira - 435-461 Political instability, ethnic fractionalization and economic growth
by Pooja Karnane & Michael A. Quinn
March 2019, Volume 16, Issue 1
- 1-4 Institutional changes and economic dynamics of international capital markets in the context of BREXIT
by Jürgen Jerger & Andrew Mullineux & Paul J. J. Welfens - 5-16 Outlook on UK-EU Brexit negotiations and possible economic risks
by Raj Badiani - 17-25 ‘Brexit’: ‘The City’ and EU capital markets
by Andy Mullineux - 27-30 Economic costs of Brexit
by Michael Heise & Ana Boata - 31-35 A Plea for an exit from Brexit and a second referendum
by Volker Clausen - 37-50 The international financial implications of Brexit
by Barry Eichengreen - 51-64 Brexit and macroprudential regulation: a DSGE perspective
by Jürgen Jerger & Jenny Körner - 65-102 The effects of Brexit on credit spreads: Evidence from UK and Eurozone corporate bond markets
by Samir Kadiric & Arthur Korus - 103-160 Lack of international risk management in BREXIT?
by Paul J. J. Welfens - 161-192 The impact of Brexit news on British pound exchange rates
by Arthur Korus & Kaan Celebi - 193-213 The UK’s banking FDI flows and Total British FDI: a dynamic BREXIT analysis
by Fabian J. Baier & Paul J. J. Welfens - 215-265 BREXIT perspectives: financial market dynamics, welfare aspects and problems from slower growth
by Paul J. J. Welfens & Tian Xiong - 267-267 Correction to: BREXIT perspectives: financial market dynamics, welfare aspects and problems from slower growth
by Paul J. J. Welfens & Tian Xiong
October 2018, Volume 15, Issue 4
- 705-707 Economic policy and market imperfections in an unstable economic and financial environment in Europe and the Middle East
by Christian Richter & Sandar Win - 709-725 Lessons from historical monetary unions - is the European monetary union making the same mistakes?
by John Ryan & John Loughlin - 727-742 Sociological challenges for Egypt’s development: 1981–2013
by Dina M. Yousri & Christian Richter - 743-759 What are the possible future research directions for bank’s credit risk assessment research? A systematic review of literature
by Sandar Win - 761-786 Dissecting long-run and short-run causalities between monetary policy and stock prices
by Ansgar Belke & Marcel Wiedmann - 787-802 A model of trade, task offshoring and social insurance
by Susanna Thede
July 2018, Volume 15, Issue 3
- 547-564 Exchange rate misalignment and total factor productivity growth in case of emerging market economies
by Vaseem Akram & Badri Narayan Rath - 565-586 The impacts of Information and Communications Technology (ICT) and E-commerce on bilateral trade flows
by Zhongwei Xing - 587-627 Ease of doing business and FDI in the ex-socialist countries
by Branimir Jovanovic & Biljana Jovanovic - 629-659 China and the great trade collapse: employment effects of falling exports to the EU and US
by David Kucera & Xiao Jiang - 661-682 Natural resource revenues: Effect on the pattern of domestic investments relative to international assets investments
by Salim Araji - 683-703 Unconventional monetary policy shocks in OECD countries: how important is the extent of policy uncertainty?
by Rangan Gupta & Charl Jooste
April 2018, Volume 15, Issue 2
- 255-259 Asset markets, financial intermediaries and growth in emerging markets and beyond
by Ansgar Belke & George Chortareas - 261-280 Net foreign asset positions and appreciation expectations on the Swiss franc and the Japanese Yen
by Sophia Latsos & Gunther Schnabl - 281-303 Real financial market exchange rate volatility and portfolio flows
by Valentyna Ozimkovska - 305-329 External balance sheets as countercyclical crisis buffers
by Joseph P. Joyce - 331-352 Emerging and small open economies, unconventional monetary policy and exchange rates – a survey
by Ansgar Belke & Christian Fahrholz - 353-371 Quantitative easing effects on commercial bank liability and government yields in UK: A threshold cointegration approach
by Stephanos Papadamou & Eleftherios Spyromitros & Nikolaos A. Kyriazis - 373-403 Public debt and economic growth – economic systems matter
by Markus Ahlborn & Rainer Schweickert - 405-428 Regional heterogeneity, the rise of public debt and monetary policy in post-bubble Japan: lessons for the EMU
by Raphael Fischer & Gunther Schnabl - 429-447 The impact of shadow banking on the implementation of Chinese monetary policy
by Tommaso Gabrieli & Keith Pilbeam & Bingxi Shi - 449-466 Spillovers of banking regulation: the effect of the German bank levy on the lending rates of regional banks and their local competitors
by Ulrich Haskamp - 467-481 A nonlinear pairwise approach for the convergence of UK regional house prices
by Eleni Kyriazakou & Theodore Panagiotidis - 483-499 Estimation of bubble dynamics in the Chinese real estate market: a State space model
by Tommaso Gabrieli & Keith Pilbeam & Tianyu Wang - 501-522 MERCOSUR in gravity: an accounting approach to analyzing its trade effects
by Frederik Stender - 523-545 Unilaterally removing implicit subsidies for maritime fuels
by Dirk Heine & Susanne Gäde
January 2018, Volume 15, Issue 1
- 1-19 Money to the people: a calculation of direct dividend payments in Africa
by Marcelo M. Giugale & Nga Thi Viet Nguyen - 21-67 Central bank transparency and inflation (volatility) – new evidence
by Christoph S. Weber - 69-87 Detecting positive effects of the ASEAN-China free trade agreement on foreign direct investment
by Qiaomin Li & Sholeh Maani - 89-115 India in the globalized economy : Growth spillovers & business cycle synchronization
by Dilip Nachane & Amlendu Dubey - 117-129 Impacts of globalization on tariff settings
by Masafumi Tsubuku - 131-157 Banking integration and monetary policy fragmentation in the eurozone
by Filippo Gori - 159-183 On imperfect competition and market distortions: the causes of corporate under-investment in energy and material efficiency
by Jun Rentschler & Raimund Bleischwitz & Florian Flachenecker - 185-213 Efficiency and transparency effects on Eastern European financial markets
by Giuseppe Galloppo & Victoria Paimanova - 215-253 Technology diffusion, international integration and participation in developing economies - a review of major concepts and findings
by T. Gries & R. Grundmann & I. Palnau & M. Redlin
October 2017, Volume 14, Issue 4
- 537-552 The economic impact of the Russian import ban: a CGE analysis
by Zornitsa Kutlina-Dimitrova - 553-578 Credit policy, real exchange rate volatility and moral hazard
by Simon Shui-Ming Wan - 579-599 Foreign direct investment under fiscal interdependence when policy is set unilaterally
by Luis Gautier - 601-624 The ‘Visible Hand’ of the ECB’s first quantitative easing
by Diego Valiante - 625-642 Do flexible exchange rates facilitate external adjustment? A dynamic approach with time-varying and asymmetric volatility
by Olivier Habimana - 643-660 International mobility of capital, wage indexation, and the cost of policy mistakes under ambiguity: a CGE evaluation
by Omar O. Chisari & Gustavo Ferro & Juan Pablo Vila Martínez - 661-689 The aggregate exports-GDP relation under the prism of infrequent trend breaks and multi-horizon causality
by Ioanna Konstantakopoulou - 691-700 On exchange-rate movements and gold-price fluctuations: evidence for gold-producing countries from a nonparametric causality-in-quantiles test
by Mehmet Balcilar & Rangan Gupta & Christian Pierdzioch - 701-722 The building up of new imbalances in China: the dilemma with ‘rebalancing’
by Helmut Wagner
July 2017, Volume 14, Issue 3
- 377-382 Resource efficiency, circular economy and sustainability dynamics in China and OECD countries
by Paul Welfens & Raimund Bleischwitz & Yong Geng