Content
July 2015, Volume 29, Issue 4
- 553-578 Macroeconomics of directed credit reforms in India
by Vineet Kohli
May 2015, Volume 29, Issue 3
- 259-286 Re-examining the relationship between domestic investment and foreign aid: does political stability matter?
by Nabamita Dutta & Deepraj Mukherjee & Sanjukta Roy - 287-308 International Capital Mobility and Saving-Investment Relationship in the Newly Industrialized Countries
by Smruti Ranjan Behera - 309-327 Lessons from the recent economic crisis: the Australian household stimulus package
by Bruno Martorano - 328-348 National disparities and cyclical dynamics in Italy (1892-2007): was the Mezzogiorno a sheltered economy?
by Rosaria Rita Canale & Oreste Napolitano - 349-373 Investment climate, foreign networks and exporting - evidence from Africa
by Vlad Manole & Mariana Spatareanu - 374-402 Determinants and impacts of subcontracting: evidence from India's unorganized manufacturing sector
by Amit Basole & Deepankar Basu & Rajesh Bhattacharya - 403-434 The relationship between agricultural commodity prices, crude oil prices and US dollar exchange rates: a panel VAR approach and causality analysis
by Anthony N. Rezitis
March 2015, Volume 29, Issue 2
- 129-149 Financial integration and exchange rate determination: a Brazilian case study
by Annina Kaltenbrunner - 150-163 Input-output evidence on the relative price effects of total productivity shift
by Theodore Mariolis & Nikolaos Rodousakis & Antonia Christodoulaki - 164-193 From economic decline to the current crisis in Italy
by Pasquale Tridico - 194-220 Board size, corporate regulations and firm valuation in an emerging market: a simultaneous equation approach
by Collins G. Ntim & Kwaku K. Opong & Jo Danbolt - 221-237 Wealth Effects and Consumption: A Panel VAR Approach
by Xin Shen & Mark J. Holmes & Steven Lim - 238-258 Government spending multipliers in contraction and expansion
by W. Qazizada & E. Stockhammer
January 2015, Volume 29, Issue 1
- 1-14 The relationship between stock prices and exchange rates in South Africa and Nigeria: structural breaks analysis
by Babajide Fowowe - 15-31 Accumulation pattern of the Brazilian economy in the 1990s and 2000s
by Carmem Aparecida Feij� & Marcos Tostes Lamonica & Julio Cesar Albuquerque Bastos - 32-64 Understanding the dynamics of the macroeconomic trilemma
by Amr S. Hosny & N. Kundan Kishor & Mohsen Bahmani-Oskooee - 65-80 An assessment of the impact of tax incentives relative to socio-economic characteristics on charitable giving in Canada
by Belayet Hossain & Laura Lamb - 81-104 A demand-driven search model with self-fulfilling expectations: the new 'Farmerian' framework under scrutiny
by Marco Guerrazzi & Paolo Gelain - 105-124 The effect of the market-based monetary policy transparency index on inflation and output variability
by Stephanos Papadamou & Vangelis Arvanitis - 125-128 The economist's oath: a review Essay
by Sheila Dow
September 2014, Volume 28, Issue 6
- 713-741 Latin America after the global crisis: the role of export-led and tradable-led growth regimes
by Gonzalo Hern�ndez Jim�nez & Arslan Razmi - 742-766 Measuring market power in the Greek manufacturing and services industries
by Michael L. Polemis - 767-796 Country terms of trade: trends, unit roots, over-differencing, endogeneity, time dummies, and heterogeneity
by Thomas H.W. Ziesemer - 797-812 Human capital effects on technical inefficiency: a stochastic frontier analysis across industries of the Greek economy
by Sophia P. Dimelis & Sotiris K. Papaioannou - 813-831 Theoretical motives of corporate cash holdings and political connections: firms level evidence from a developing economy
by Abubakr Saeed & Yacine Belghitar & Ephraim Clark - 832-848 A Kaleckian model for understanding and responding to the economic policy challenges of remittances
by Luis Alberto Alonso Gonzalez & Bruno Sovilla
September 2014, Volume 28, Issue 5
- 539-561 Microfinance, vulnerability and risk in low income households
by Ranjula Bali Swain & Maria Floro - 562-585 Unproductive labour, capital accumulation and profitability crisis in the Greek economy
by Lefteris Tsoulfidis & Persefoni Tsaliki - 586-610 Ownership structure, monitoring, and market value of companies: evidence from an unusual privatization mode
by Bartosz Gębka - 611-627 How effective is the Free Trade Agreement in South Asia? An empirical investigation
by Amirul Islam & Harry Bloch & Ruhul Salim - 628-649 Returns to education and gender gap
by Marilena Furno - 650-668 Turkish trade unionists and Turkey's membership of the European Union
by Theo Nichols & Ali C. Tasiran - 669-694 Role of technological infrastructures in exports: evidence from a cross-country analysis
by Hrushikesh Mallick - 695-712 Occupational skill attainment in Canada: the role of gender, nativity status and ethnic origin
by Najma R. Sharif
July 2014, Volume 28, Issue 4
- 419-435 Testing the Bhaduri-Marglin model with OECD panel data
by Jochen Hartwig - 436-459 The role of the wage-productivity gap in economic activity
by Marika Karanassou & Hector Sala - 460-481 Gender differences in occupational mobility - evidence from Portugal
by Nuno Crespo & Nadia Simoes & Sandrina B. Moreira - 482-506 Does foreign direct investment increase exports' productivity? Evidence from developing and emerging countries
by Mohamed Saadi - 507-523 An empirical investigation of the National Innovation System (NIS) using Data Envelopment Analysis (DEA) and the TOBIT model
by Munshi Naser Ibne Afzal - 524-538 Do corporate governance mechanisms affect cash dividends? An empirical investigation of UK firms
by Basil Al-Najjar & Yacine Belghitar
May 2014, Volume 28, Issue 3
- 274-292 The financial fragility and the crisis of the Greek government sector
by Georgios Argitis & Maria Nikolaidi - 293-310 Regional output growth and the impact of macroeconomic shocks in Mexico
by David Shepherd & Rebeca I. Mu�oz Torres & Miguel A. Mendoza - 311-322 The effect of real wages and inflation on labour productivity in Malaysia
by Chor Foon Tang - 323-335 An empirical analysis of the US stock market and output growth volatility spillover effects on three Anglo-Saxon countries
by Abbas Valadkhani & George Chen - 336-364 Domestic demand and global production in the Eurozone: A multi-regional input-output assessment of the global crisis
by Nadia Garbellini & Enrico Marelli & Ariel Luis Wirkierman - 365-382 Understanding TFP growth in inland regions of China: an empirical study of the effects of three factors
by Yanqing Jiang - 383-400 The professors and the banks: US views on the subprime crisis
by John Grahl - 401-418 Economic growth, financial crisis, and property rights: observer bias in perception-based measures
by Thomas Stubbs & Lawrence King & David Stuckler - 418-418 Corrigendum
by B. Coelho & Kevin P. Gallagher
March 2014, Volume 28, Issue 2
- 131-153 Modelling the housing market in OECD countries
by P. Arestis & A.R. Gonz�lez - 154-180 The labour market and the distribution of earnings: an empirical analysis for Italy
by Fabio Clementi & Michele Giammatteo - 181-190 The impact of job mobility on earnings: using occupational and industrial classifications to identify job changes
by Mark Gius - 191-209 How responsive are trade flows between Malaysia and China to the exchange rate? Evidence from industry data
by Abdorreza Soleymani & Soo Y. Chua - 210-239 The new IMF approach to capital account management and its blind spots: lessons from Brazil and South Korea
by Barbara Fritz & Daniela Prates - 240-269 Costs, knowledge and market structure: understanding the puzzle of international competitiveness with Greek export data
by Ioannis Bournakis - 270-272 Developments in global finance. Review of Sovereign wealth funds: legitimacy, governance and global power, by Gordon L. Clark, Adam D. Dixon, and Ashby H. B. Monk
by Ana Nacvalovaite
January 2014, Volume 28, Issue 1
- 1-21 Internationalization and industrial districts: evidence from the Italian automotive supply chain
by Emanuele Bacchiocchi & Massimo Florio & Anna Giunta - 22-44 Quality of higher education and earnings: evidence from Finland using field-of-study-level quality measures
by Tuomo Suhonen - 45-63 The bank lending channel and Swiss banking: a survey-based approach
by Banu Simmons-Sueer - 64-82 Twenty years of jumps in commodity markets
by Julien Chevallier & Florian Ielpo - 83-101 Financial systems and economic growth in South Africa: a dynamic complementarity test
by Nicholas M. Odhiambo - 102-125 Productivity change and externalities: empirical evidence from Hungary
by Victoria Kravtsova
November 2013, Volume 27, Issue 6
- 707-728 Institutional arrangements and public debt threshold limits
by Timothy P. Sharpe - 729-749 On the short-run relationship between the income distribution-growth and debt-growth regimes
by Hiroshi Nishi - 750-765 Exchange market pressure, stock prices, and commodity prices in West Africa
by Scott W. Hegerty - 766-797 Complements or substitutes? New theoretical considerations and empirical evidence on the imports and FDI relationship in Central and Eastern European Countries
by Fragkiskos Filippaios & Constantina Kottaridi - 798-821 Labour effects of foreign and domestic remittances -- evidence from Pakistan
by Mazhar Mughal & Farid Makhlouf - 822-833 Barbaric gold and civilised banking: Keynes’s Indian Currency and Finance . A view from the South after 100 years
by Vishnu Padayachee & Bradley Bordiss - 834-841 Lost and found: the South African transition through a Stellenbosch lens. Willie Esterhuyse, Endgame: secret talks and the end of apartheid. Sampie Terreblanche, Lost in transformation
by Vishnu Padayachee - 842-847 Future imperfect: a review of Andrew Gamble. Andrew Gamble, The spectre at the feast: capitalist crisis and the politics of recession
by Dan Coffey
September 2013, Volume 27, Issue 5
- 575-596 Class struggle and economic fluctuations: VAR analysis of the post-war US economy
by Deepankar Basu & Ying Chen & Jong-seok Oh - 597-611 Twenty-two econometric tests on the gravitation and convergence of industrial rates of return in New Zealand and Taiwan
by Andrea Vaona - 612-632 Monetary policy reactions and the exchange rate: a regime-switching structural VAR for Canada
by Ronald H. Lange - 633-655 Bank liquidity risk and monetary policy. Empirical evidence on the impact of Basel III liquidity standards
by Gaston A. Giordana & Ingmar Schumacher - 656-678 Modelling the effect of national culture on countries' innovation performances: A conditional full frontier approach
by George E. Halkos & Nickolaos G. Tzeremes - 679-694 Spatial stochastic frontier models: controlling spatial global and local heterogeneity
by Elisa Fusco & Francesco Vidoli - 695-705 Risk premium, macroeconomic shocks, and information technology: an empirical analysis
by Pekka Mannonen & Elias Oikarinen
July 2013, Volume 27, Issue 4
- 429-448 FDI and domestic investment in Germany: crowding in or out?
by Özlem Onaran & Engelbert Stockhammer & Klara Zwickl - 449-471 Capital accumulation and ground-rent in Brazil: 1953--2008
by Nicolas Grinberg - 472-490 The forward pricing function of industrial metal futures -- evidence from cointegration and smooth transition regression analysis
by Joscha Beckmann & Robert Czudaj - 491-514 The impact of corruption on FDI: is MENA an exception?
by Heba E. Helmy - 515-530 Indicators of business environment, institutional quality and foreign direct investment in Gulf Cooperation Council (GCC) countries
by Azmat Gani & Almukhtar Saif Al-Abri - 531-556 Rebalancing through expenditure and price changes
by Rudiger von Arnim & K.P. Prabheesh - 557-573 Trade expansion and employment generation: how mercantilist does China have to be?
by Xiao Jiang
May 2013, Volume 27, Issue 3
- 297-315 Exploring different measures of wage flexibility in a developing economy context: the case for Turkey
by Ipek Ilkkaracan & Haluk Levent & Sezgin Polat - 316-338 A cause for policy concern: the expansion of household credit in middle-income economies
by Paulo L. dos Santos - 339-359 Measuring the degree of market power in the Greek manufacturing industry
by Anthony N. Rezitis & Maria A. Kalantzi - 360-385 The Euroland crisis and Germany's euro trilemma
by J�rg Bibow - 386-403 The effectiveness of capital controls: evidence from Colombia and Thailand
by Bruno Coelho & Kevin P. Gallagher - 404-428 Canada--US productivity gap: The role of competition intensity differential
by Malick Souare
March 2013, Volume 27, Issue 2
- 135-149 Rethinking on public enterprise: editorial introduction and some personal remarks on the research agenda
by Massimo Florio - 150-173 What matters to performance? Structural and institutional dimensions of water utility governance
by Janice A. Beecher - 174-192 New models of public ownership in energy
by Aoife Brophy Haney & Michael G. Pollitt - 193-214 Re-municipalisation in the early twenty-first century: water in France and energy in Germany
by David Hall & Emanuele Lobina & Philipp Terhorst - 215-236 The race for international markets: Were privatized telecommunications incumbents more successful than their public counterparts?
by Jos� M. Alonso & Judith Clifton & Daniel Díaz-Fuentes & Marcos Fernández-Guti�rrez & Julio Revuelta - 237-264 Productivity in electricity generation: The role of firm ownership and regional institutional quality
by Chiara F. Del Bo - 265-284 Reforming a network industry: consequences for cost efficiency and welfare
by Johan Willner & Sonja Grönblom - 285-296 Prosocial behavior in the production of publicly provided goods and services: an overview
by Paolo Polidori & D�sir�e Teobaldelli
January 2013, Volume 27, Issue 1
- 1-22 What drives inequality and poverty in the EU? Exploring the impact of macroeconomic and institutional factors
by Yannis Dafermos & Christos Papatheodorou - 23-43 India's gender bias in child population, female education and growing prosperity: 1951--2011
by D.P. Chaudhri & Raghbendra Jha - 44-60 Mission drift in microfinance: are the concerns really worrying? Recent cross-country results
by Ashim Kumar Kar - 61-80 Gender preference and transfers from parents to children: an inter-regional comparison
by Edwin S. Wong - 81-109 Impact of exchange rate volatility on commodity trade between US and Hong Kong
by Mohsen Bahmani-Oskooee & Jia Xu - 110-134 The economics and politics of output volatility: evidence from Indian states
by Saibal Ghosh
May 2012, Volume 26, Issue 6
- 829-841 Legacy and credit scores in South Africa
by C. Charles Okeahalam
January 2012, Volume 26, Issue 6
- 811-827 Assessing economic complexity as interindustry connectedness in nine OECD countries
by João C. Lopes & João Dias & João F. Amaral
November 2012, Volume 26, Issue 6
April 2012, Volume 26, Issue 6
- 711-733 Women and work: what role do social norms play?
by Andreia Tolciu & Ulrich Zierahn - 735-753 The real exchange rate and economic growth: are developing countries different?
by Mart�n Rapetti & Peter Skott & Arslan Razmi - 755-786 Infinite-variance, alpha-stable shocks in monetary SVAR
by Greg Hannsgen - 787-810 The persistence of innovation: a panel data investigation on manufacturing firms
by Eleonora Bartoloni
December 2012, Volume 26, Issue 5
- 673-685 Sustainability of external debt: further evidence from non-linear framework
by Abm Nasir & Abdullah M. Noman
January 2012, Volume 26, Issue 5
- 687-707 An alternative approach to the monitoring of technological diffusion via foreign direct investment: evidence from the Greek manufacturing sector
by Evangelia Desli & Pavlos Gkasis & Persefoni Tsaliki
September 2012, Volume 26, Issue 5
- 579-595 Internationalisation, growth and pay inequality: a cointegration analysis for Turkey, 1970--2007
by Adem Y. Elveren & Ibrahim Örnek & Günay Akel - 597-622 Interaction of public and private investment in Southern Africa: a dynamic panel analysis
by Thomas Chataghalala Munthali - 643-656 Technology diffusion, spatial effects and productivity growth in the Chinese provinces
by Yanqing Jiang - 709-710 Globalization and varieties of capitalism. New Labour, economic policy and the abject state
by David Bailey
October 2012, Volume 26, Issue 5
- 565-578 Economic class and the distribution of income: a time-series analysis of the UK economy, 1955--2010
by Juan Carlos Cuestas & Bruce Philp - 623-642 Export sophistication and the terms of trade of the developing and emerging countries
by Mohamed Saadi - 657-671 Patterns of innovation and intra-industry heterogeneity in Turkey
by Alp Eren Yurtseven & Vedat Sinan Tandoğan
September 2012, Volume 26, Issue 4
- 549-564 Inflation targeting in an import dependent indebted economy
by Ayşe Özden Birkan
August 2012, Volume 26, Issue 4
- 489-513 Do employment quotas explain the occupational choices of disadvantaged minorities in India?
by Larry L. Howard & Nishith Prakash - 515-532 The impact of exchange rate volatility on commodity trade between the US and Thailand
by Mohsen Bahmani-Oskooee & Kaveepot Satawatananon - 533-547 Knowledge spillovers, absorptive capacity and total factor productivity in China’s manufacturing firms
by Hailin Liao & Xiaohui Liu & Chengang Wang
July 2012, Volume 26, Issue 4
- 445-463 Commercial corporate governance ratings: an alternative view of their use and impact
by Photis Lysandrou & Daniella Parker
June 2012, Volume 26, Issue 4
- 465-487 Financialization and the rentier income share -- evidence from the USA and Germany
by Petra Duenhaupt
April 2012, Volume 26, Issue 4
- 425-444 Factors empowering women in Indian self-help group programs
by Ranjula Bali Swain & Fan Yang Wallentin
November 2012, Volume 26, Issue 3
- 417-424 Convergence or divergence in cross-country growth?
by Stephen Dobson & Carlyn Ramlogan-Dobson & Eric Strobl
April 2012, Volume 26, Issue 3
- 287-301 The ‘compensation’ thesis, as exemplified by the case of the Chinese central bank
by Marc Lavoie & Peng Wang - 303-328 Governance and foreign direct investment: a panel gravity model approach
by Sotirios Bellos & Turan Subasat - 367-385 The long-run convergence of exchange rates and prices in the European Union
by John Beirne - 387-416 The effect of FOMC statements on asset prices
by Mira Farka & Adrian R. Fleissig
February 2012, Volume 26, Issue 3
- 349-366 A macroeconomic approach to the income-tax work-effort relationship
by Basil Dalamagas & Stelios Kotsios
March 2012, Volume 26, Issue 3
- 329-348 Does capital and financing structure have any relevance to the performance of microfinance institutions?
by Ashim Kumar Kar
March 2012, Volume 26, Issue 2
- 145-146 Introduction to the special issue: Economic policies of the new thinking in economics
by Philip Arestis & Malcolm Sawyer
August 2012, Volume 26, Issue 2
- 161-175 Policy in the wake of the banking crisis: taking pluralism seriously
by Sheila C. Dow
November 2012, Volume 26, Issue 2
- 177-190 The reduction of the UK budget deficit: a human rights perspective
by Diane Elson - 223-239 Return of industrial policy?
by Robert H. Wade - 241-252 Global capital markets, direct taxation and the redistribution of income
by Valpy FitzGerald
October 2012, Volume 26, Issue 2
- 147-160 The ‘new economics’ and policies for financial stability
by Philip Arestis & Malcolm Sawyer - 205-221 A new economics approach to modelling policies to achieve global 2020 targets for climate stabilisation
by Terry Barker & Annela Anger & Unnada Chewpreecha & Hector Pollitt - 253-266 Expectations, uncertainty and institutions. An application to the analysis of social security reforms
by Jesus Ferreiro & Felipe Serrano
September 2012, Volume 26, Issue 2
- 191-203 Rethinking wage policy in the face of the Euro crisis. Implications of the wage-led demand regime
by Engelbert Stockhammer & Özlem Onaran - 267-285 Debt monetization, inflation, and the ‘neutral’ interest rate
by Alfonso Palacio-Vera
January 2012, Volume 26, Issue 1
- 1-26 The puzzle of aid and growth: any role for investment?
by Nicola Limodio - 27-45 Are there free rides out of a recession? The case of Switzerland
by Andres Frick & Michael Graff & Jochen Hartwig & Boriss Siliverstovs - 47-72 Sources of TFP growth in a framework of convergence-evidence from Greece
by Ioannis Bournakis - 83-96 Correlates of economic growth in developing countries: a panel cointegration approach
by James P. Neelankavil & Lonnie K. Stevans & Francisco L. Roman
June 2012, Volume 26, Issue 1
- 73-81 Is there J-Curve effect in Africa?
by Mohsen Bahmani-Oskooee & Abera Gelan
February 2012, Volume 26, Issue 1
- 111-124 Widowhood and health of elderly in India: examining the role of economic factors using structural equation modeling
by Manoj K. Pandey & Abhay Kumar Jha
March 2012, Volume 26, Issue 1
- 97-110 Income velocity and non-GDP transactions in the UK
by I. Biefang-Frisancho Mariscal & P.G.A. Howells - 125-143 Does non-linearity help us understand, model and forecast UK stock and bond returns: evidence from the BEYR
by David G. McMillan
October 2011, Volume 25, Issue 6
- 725-751 The market for corporate control: do countries and technological regimes matter?
by Mirella Damiani & Fabrizio Pompei
November 2011, Volume 25, Issue 6
- 633-652 Does export and productivity growth linkage exist? Evidence from the Indian manufacturing industry
by Chandan Sharma & Ritesh Kumar Mishra - 653-668 Capital flows, real exchange rate, and growth constraints in Mexico
by Carlos A. Ibarra - 669-691 Poverty, undernutrition and vulnerability in rural India: role of rural public works and food for work programmes
by Katsushi S. Imai - 693-723 Interest rates, distribution and capital accumulation -- A post-Kaleckian perspective on the US and Germany
by Eckhard Hein & Christian Schoder
January 2011, Volume 25, Issue 5
- 615-631 The extensive and intensive margins of Spanish trade
by Juan de Lucio & Raúl M�nguez-Fuentes & Asier Minondo & Francisco Requena-Silvente
September 2011, Volume 25, Issue 5
- 539-557 Conflict, growth, distribution, and employment: a long-run Kaleckian model
by Hiroaki Sasaki - 559-584 Black--white wage differentials: duration and probability unemployment effects in a multiple of sample selection bias model
by John Baffoe-Bonnie & Anthony O. Gyapong - 585-598 Earnings inequality and unemployment in South Africa
by Fiona Tregenna
October 2011, Volume 25, Issue 5
- 503-517 Terms of trade movements and the global economic crisis
by Harry Bloch & David Sapsford - 519-538 Estimated non-linearities and multiple equilibria in a model of distributive-demand cycles
by Daniele Tavani & Peter Flaschel & Lance Taylor - 599-614 Interest-rate volatility and volatility spillovers in emerging Europe
by Scott W. Hegerty
2011, Volume 25, Issue 4
- 379-403 Incentives to self-employment decision in Sweden
by Altin Vejsiu - 405-418 The interplay between labor market rigidity and volatility-growth nexus
by Michał Brzozowski - 419-439 R&D subsidies and private R&D expenditures: evidence from Italian manufacturing data
by Oliviero Carboni - 441-463 Skilled and unskilled wage dynamics in Italy in the 1990s: changes in individual characteristics, institutions, trade and technology
by Anna Maria Falzoni & Alessandra Venturini & Claudia Villosio - 465-502 An empirical investigation into the gravitation and convergence of industry return rates in OECD countries
by Andrea Vaona
2011, Volume 25, Issue 3
- 249-282 Poverty, inequality and ethnic minorities in Vietnam
by Katsushi Imai & Raghav Gaiha & Woojin Kang - 283-301 Advertising and labour supply: why do Americans work such long hours?
by Keith Cowling & Rattanasuda Poolsombat & Philip Tomlinson - 303-311 A directional analysis of Federal Reserve predictions of growth in unit labor costs and productivity
by Hamid Baghestani - 313-329 Access to credit and informality among micro and small enterprises in Ethiopia
by Gemechu Ayana Aga & Barry Reilly - 331-348 Does sport make you happy? An analysis of the well-being derived from sports participation
by Paul Downward & Simona Rasciute - 349-362 Temporal variation of capture of anti-poverty programs: rural public works and food for work programs in rural India
by Raghbendra Jha & Sambit Bhattacharyya & Raghav Gaiha - 363-378 Performance of European insurance firms in the single insurance market
by Adnan Kasman & Evrim Turgutlu
2011, Volume 25, Issue 2
- 127-148 Inflation targeting in Brazil
by Philip Arestis & Fernando Ferrari-Filho & Luiz Fernando de Paula - 149-170 Capital flight from sub-Saharan Africa: linkages with external borrowing and policy options
by Leonce Ndikumana & James Boyce - 171-184 North-South terms-of-trade trends from 1960 to 2006
by Bilge Erten - 185-207 Dual equilibrium and growth cycle in Argentina
by Jose Luis Nicolini-Llosa - 209-224 The inter-relationship between capital structure and dividend policy: empirical evidence from Jordanian data
by Basil Al-Najjar - 225-238 Saving behaviour: evidence from Portugal
by Maria Teresa Medeiros Garcia & Carlos Barros & Antonio Silvestre - 239-244 The internationalization of production systems. Implications for firms, labour and countries: The global environment of business
by Grazia Ietto-Gillies - 245-248 Cumulative causation: The foundations of non-equilibrium economics
by Jonathan Michie
2011, Volume 25, Issue 1
- 1-23 Globalization and the effects of changes in functional income distribution on aggregate demand in Germany
by Engelbert Stockhammer & Eckhard Hein & Lucas Grafl - 25-37 On the effect of R&D in returns to experience
by Tiago Neves Sequeira - 39-60 Testing EU fiscal surveillance: how sensitive is it to variations in output gap estimates?
by Sven Langedijk & Martin Larch - 61-85 Environmentally oriented innovative strategies and firm performance in services. Micro-evidence from Italy
by Giulio Cainelli & Massimiliano Mazzanti & Roberto Zoboli - 87-105 The impact of production offshoring on the skill composition of manufacturing firms: evidence from Italy
by Roberto Antonietti & Davide Antonioli - 107-119 Non-linear effect of exchange rate volatility on exports: the role of financial sector development in emerging East Asian economies
by Myint Moe Chit & Amrit Judge - 121-125 Global finance and social Europe
by Jonathan Michie
2010, Volume 24, Issue 6
- 633-647 Interest linkages between the US, UK and German interest rates: should the UK join the European Monetary Union?
by William Bryant & Roselyne Joyeux - 649-664 Are business cycles stationary fluctuations around a deterministic trend? Empirical evidence from 79 developing countries
by Paresh Kumar Narayan & Seema Narayan - 665-684 What is wrong with aggregate production functions. On Temple's 'aggregate production functions and growth economics'
by Jesus Felipe & J. S. L. McCombie - 685-692 Aggregate production functions, growth economics, and the part-time tyranny of the identity: a reply to Felipe and McCombie
by Jonathan Temple - 693-714 Investment and the rate of profit in a financial context: the French case
by Mickaël Clevenot & Yann Guy & Jacques Mazier - 715-729 A contribution to estimate a benchmark capital stock. An optimal consistency method
by J. M. Albala-Bertrand