Content
January 2020, Volume 23, Issue 1
-   1-15 Science, innovation, and public services: editorial introduction
 by Stefano Clò & Massimo Florio
-    16-33 Should governments fund basic science? Evidence from a willingness-to-pay experiment in five universities
 by Massimo Florio & Francesco Giffoni & Gelsomina Catalano
-   34-48 The socio-economic value of satellite earth observations: huge, yet to be measured
 by Alessandra Tassa
-   49-66 Trends and determinants of energy innovations: patents, environmental policies and oil prices
 by Alessandro Sterlacchini
-   67-82 Innovation and new public water
 by David A. McDonald
-   83-99 Innovative behavioral regulatory agencies as second generation commitment devices
 by Francesc Trillas
October 2019, Volume 22, Issue 4
-   307-324 Finance and unemployment: new panel evidence
 by Dong-Hyeon Kim & Ting-Cih Chen & Shu-Chin Lin
-   325-350 Structural reforms and growth in developing countries
 by Tolga Aksoy
-   351-368 Young democracies and government debt: evidence from South America
 by Manoel Bittencourt
-   369-383 The IMF to the rescue: did Greece benefit from the fund’s experience in dealing with highly indebted countries?
 by Sebastian Dullien & Barbara Fritz & Laurissa Mühlich
-   384-398 An empirical analysis of disinvestment policy in India: does ideology matter?
 by Ritika Jain & Shubhro Sarkar
-   399-419 Demographic change and income tax revenues – results from a large microsimulation model for Germany
 by Lena Calahorrano & Luca Rebeggiani & Sven Stöwhase & Martin Teuber
July 2019, Volume 22, Issue 3
-   203-207 Reinforcing supranational bank regulation, supervision, support and resolution in Europe: introduction
 by David Howarth & Joachim Schild
-   208-225 European banks’ executive remuneration under the new European Union regulation
 by Pablo de Andrés & Rodrigo Reig & Eleuterio Vallelado
-   226-241 Balancing market liquidity: Bank Structural Reform caught between growth and stability
 by Vanessa Endrejat & Matthias Thiemann
-   242-256 Building responsive supervision over smaller banks in Europe: an insight from the Principal-Agent perspective
 by Jakub Gren
-   257-272 The multiple accountabilities of the European Banking Authority
 by John-Paul Salter
-   273-290 Consultations and the ECB as prudential regulator: enhancing legitimacy?
 by Ute Lettanie
-   291-306 A common backstop to the Single Resolution Fund
 by Florian Brandt & Matthias Wohlfahrt
April 2019, Volume 22, Issue 2
-   101-119 Rethinking value in health innovation: from mystifications towards prescriptions
 by Mariana Mazzucato & Victor Roy
-   120-147 State-owned banks in the market for corporate control
 by Emanuele Bacchiocchi & Matteo Ferraris & Massimo Florio & Daniela Vandone
-    148-163 Achieving the triple dividend in Portugal: a dynamic general-equilibrium evaluation of a carbon tax indexed to emissions trading
 by Alfredo Marvao Pereira & Rui Marvao Pereira
-   164-183 Asymmetric government expenditure: a comparison of advanced and developing countries
 by Ali Aşkın Çulha
-   184-201 Inter-local relations and trans-scaling through finance in Poland
 by Julita Łukomska & Katarzyna Szmigiel-Rawska
January 2019, Volume 22, Issue 1
-   1-15 How do mega-bank merger policy and regulations contribute to financial stability? Evidence from Australia and Canada
 by Caner Bakir
-   16-34 Impact of domestic financial liberalization on economic growth in Pakistan
 by Samina Naveed & Zafar Mahmood
-   35-50 Why is change so slow? Assessing prospects for United Nations Security Council reform
 by Madeleine O. Hosli & Thomas Dörfler
-   51-68 Fiscal decentralization and corporate investment: empirical evidence from China
 by Shenghao Gao & Liming Wang & Ningyue Liu & Min Zhang
-   69-83 Macroeconomic effects of increased wage flexibility in EMU
 by Dirk Bursian & Nikolai Stähler
-   84-99 A new proposal of pension regimes typology: empirical analysis of the OECD countries
 by Edyta Marcinkiewicz & Filip Chybalski
October 2018, Volume 21, Issue 4
-   1-1 Editorial Board
 by The Editors
-   257-259 European integration in the aftermath of the debt crisis
 by Christopher A. Hartwell & Elias Soukiazis & Eva Muchová & Roman Horváth
-   260-280 The effect of political volatility on capital markets in EU accession and neighborhood countries
 by Christopher A. Hartwell
-   281-300 Real-time uncertainty in budget planning: evidence from euro area countries
 by Maritta Paloviita & Pasi Ikonen
-   301-318 What can eastern European countries learn from the Slovak economy? A twin deficit growth approach
 by Elias Soukiazis & Eva Muchova & Pedro A. Cerqueira & Micaela Antunes
-   319-334 Financial market fragmentation and monetary transmission in the euro area: what do we know?
 by Roman Horvath
-   335-352 Performance of the Macroeconomic Imbalance Procedure in light of historical experience in the CEE region
 by Maria Siranova & Marek Radvanský
-   353-367 Monetary integration vs. real disintegration: single currency and productivity divergence in the euro area
 by Alberto Bagnai & Christian Alexander Mongeau Ospina
July 2018, Volume 21, Issue 3
-   175-177 Special edition on reforming Banking Union: introduction
 by David Howarth & Joachim Schild
-   178-189 Banking union: the problem of untried systems
 by David G. Mayes
-   190-209 The difficult construction of a European Deposit Insurance Scheme: a step too far in Banking Union?
 by David Howarth & Lucia Quaglia
-   210-223 Advocacy coalitions and the lack of deposit insurance in Banking Union
 by Shawn Donnelly
-   224-239 Deposit guarantee reform in Europe: does European deposit insurance scheme increase banking stability?
 by Rosaria Cerrone
-   240-256 Rethinking the allocation of macroprudential mandates within the Banking Union – a perspective from east of the BU
 by Katalin Mérő & Dóra Piroska
April 2018, Volume 21, Issue 2
-   99-101 Special edition on constructing Banking Union: Introduction
 by The Editors
-   102-117 Germany and France at cross purposes: the case of Banking Union
 by Joachim Schild
-   118-131 International law as a negotiation tool in Banking Union; the case of the Single Resolution Fund
 by Ioannis G. Asimakopoulos
-   132-143 Banking union: the disadvantages of opportunism
 by David G. Mayes
-   144-158 Harmonizing national options and discretions in the EU banking regulation
 by Zdenek Kudrna & Sonja Puntscher Riekmann
-   159-173 Liberal economic nationalism, financial stability, and Commission leniency in Banking Union
 by Shawn Donnelly
January 2018, Volume 21, Issue 1
-   1-20 An exploratory study on the impact of pro-market reforms on the Indian corporate sector
 by Amit Baran Chakrabarti & Sougata Ray
-   21-38 Poverty, disputes, and access to justice in two Indonesian provinces
 by José Cuesta & Lucia Madrigal & Emmanuel Skoufias
-   39-58 Restrictive or expansive selection: the uneven role of tariff structure in improving market access
 by Carmen Fillat-Castejón
-    59-79 Bubble economics and structural change: the cases of Spain and France compared
 by Pablo Agnese & Jana Hromcová
-   80-97 Can a temporary financial assistance scheme prevent a transition into poverty among individuals who experienced a life event crisis?
 by Chang-O Kim
October 2017, Volume 20, Issue 4
-   1-1 Editorial Board
 by The Editors
-   293-320 Addressing the disenchantment: universities and regional development in peripheral regions
 by Andrea Bonaccorsi
-   321-342 Political cycles in Greece’s municipal employment
 by Georgios Chortareas & Vassilis E. Logothetis & Andreas A. Papandreou
-   343-359 Reconsidering bank capital regulation: a new combination of rules, regulators, and market discipline
 by Connel Fullenkamp & Céline Rochon
-   360-372 Political contributions and corruption in the United States
 by Omer Gokcekus & Sertac Sonan
July 2017, Volume 20, Issue 3
-   193-198 Introduction to the special issue: new perspectives on regulating banks after the global financial crisis
 by Judith Clifton & Myriam García-Olalla & Philip Molyneux
-   199-213 Are banks public utilities? Evidence from Europe
 by Philip Molyneux
-   214-237 Including vulnerable groups in financial services: insights from consumer satisfaction
 by Judith Clifton & Marcos Fernández-Gutiérrez & Myriam García-Olalla
-    238-253 Are covered bonds a substitute for mortgage-backed securities?
 by Santiago Carbó-Valverde & Richard J. Rosen & Francisco Rodríguez-Fernández
-   254-270 Beyond rational behaviour: the non-financial variables that condition shareholder action during a takeover
 by Rosa M. Mayoral & Eleuterio Vallelado
-   271-291 Shareholder wealth responses to European legislation on bank executive compensation
 by Belén Díaz Díaz & Rebeca García-Ramos & Myriam García-Olalla
April 2017, Volume 20, Issue 2
-   () Erratum
 by The Editors
-   99-112 The distributional effects of progressive capital taxes
 by Ricardo T. Fernholz
-   113-135 Fiscal position and the financing of productive government expenditures: an application to Latin America
 by Tamoya A.L. Christie & Felix K. Rioja
-   136-164 Gross Capital Formation, Institutions and Poverty in Sub-Saharan Africa
 by Eric Akobeng
-   165-191 Portugal’s banking and financial crises: unexpected consequences of monetary integration?
 by Tiago Cardao-Pito & Diogo Baptista
January 2017, Volume 20, Issue 1
-   1-25 Dynamics of the growth–inequality nexus in China: roles of surplus labor, openness, education, and technical change in province-panel analysis
 by Furong Jin & Keun Lee
-   26-45 Democratization and the depoliticization of the banking sector: Are all banks affected equally?
 by Sharon Poczter
-   46-63 Understanding the politics of bailout policies in non-Western countries: The use of sovereign wealth funds
 by Juergen Braunstein
-   64-85 Tax and transfer programs, retirement behavior, and work hours over the life cycle
 by Julián Díaz-Saavedra
-   86-97 Economic uncertainty, monetary uncertainty and the Korean demand for money
 by Mohsen Bahmani-Oskooee & Jungho Baek
October 2016, Volume 19, Issue 4
-    305-326 Beyond market failures: the market creating and shaping roles of state investment banks
 by Mariana Mazzucato & Caetano C.R. Penna
-   327-347 Does economic freedom increase income inequality? Evidence from the EU countries
 by Salvador Pérez-Moreno & María J. Angulo-Guerrero
-   348-368 Social protection during recessions: evidence from Chile
 by Julio J. Guzman
-   369-385 Human capital formation and public debt: growth and welfare effects of three different deficit policies
 by Alfred Greiner
-   386-395 Government spending and economic growth in the OECD countries
 by Michael Connolly & Cheng Li
July 2016, Volume 19, Issue 3
-   195-199 Call for Papers
 by The Editors
-   200-220 Notional defined contribution pension schemes: why does only Sweden distribute the survivor dividend?
 by Carlos Vidal-Meliá & María del Carmen Boado-Penas & Francisco Navarro-Cabo
-   221-237 The impacts of social pension on rural household expenditure: evidence from China
 by Huamao Zheng & Teng Zhong
-    238-261 Did the rising importance of services decelerate overall productivity improvement of Turkey during 2002–2007?
 by Murat Üngör
-   262-280 Less planning, more development? Housing and urban reform discourses in Australia
 by Nicole Gurran & Kristian Ruming
-   281-304 Does policy reform promote FDI in developing economies? a firm-level simulation approach
 by Kiyoyasu Tanaka & Shawn Arita
April 2016, Volume 19, Issue 2
-    91-115 Factors explaining inter-municipal cooperation in service delivery: a meta-regression analysis
 by Germà Bel & Mildred E. Warner
-   116-147 Worldwide impact of IMF policies during the Asian crisis: who does the IMF help, creditors or crisis countries?
 by Ali M. Kutan & Yaz Gülnür Muradoğlu & Zhong Yu
-   148-165 Cuba’s reform and economic growth: a comparative perspective with Vietnam
 by Pavel Vidal Alejandro
-    166-184 How much do tariffs matter? Evidence from the customs union of Belarus, Kazakhstan and Russia
 by Asel Isakova & Zsoka Koczan & Alexander Plekhanov
-   185-194 Fiscal policy rules, budget deficits, and forecasting biases
 by Guido Baldi
January 2016, Volume 19, Issue 1
-   1-19 Developing countries’ financial vulnerability to the eurozone crisis: an event study of equity and bond markets
 by Joshua Aizenman & Yothin Jinjarak & Minsoo Lee & Donghyun Park
-   20-38 Wage differentials by sector and gender: a quantile analysis for the Spanish case
 by Marta Rahona-López & Inés P. Murillo-Huertas & Maria del Mar Salinas-Jiménez
-   39-64 Business cycle convergence and trade: Brazil and China in a changing world
 by Julimar da Silva Bichara & Sandro Eduardo Monsueto da Silva & André Moreira Cunha & Marcos Tadeu Caputi Lélis
-   65-76 Efficient political contributions with conditional Coasian contracts
 by Bryan Engelhardt & Justin Svec
-   77-89 The impact of political institutions on U.S. state bond yields during crises: evidence from the 2008 credit market seizure
 by Sounman Hong & Daniel Nadler
October 2015, Volume 18, Issue 4
-   1-1 Editorial Board
 by The Editors
-    267-292 Disaggregated approach to government spending shocks: a theoretical analysis
 by Orcan Cortuk & Mustafa Haluk Guler
-   293-308 The U.S. Department of Commerce’s approach to targeted dumping: the wrong test and the wrong response
 by Henry B. McFarland
-   309-325 Did China’s Rural Appliance Rebate program boost home appliance consumption during the latest recession?
 by Jianmei Zhao
-   326-340 Does COBRA reduce the probability that job separators return to work?
 by David M. Zimmer
-    341-357 Downside business confidence spillovers in Europe: evidence from causality-in-risk tests
 by Erdal Atukeren & Emrah İ. Çevik & Turhan Korkmaz
July 2015, Volume 18, Issue 3
-   189-190 Impact factor improvements, new members of the editorial board and future planning
 by Judith Clifton
-   191-220 Transition economics meets new structural economics
 by Erik Berglof & Dominique Foray & Michael Landesmann & Justin Yifu Lin & Mario Nauro Campos & Peter Sanfey & Slavo Radosevic & Natalya Volchkova
-   221-243 The political economy of participation in IMF programs: a disaggregated empirical analysis
 by Graham Bird & Jim Mylonas & Dane Rowlands
-   244-257 Reforming occupational pension schemes: the case of the Netherlands
 by Lans Bovenberg & Raymond Gradus
-   258-266 Water pricing reform analysis: alternative scenarios
 by Alla Fridman
April 2015, Volume 18, Issue 2
-   89-95 Transition economics meet new structural economics: editorial introduction
 by Erik Berglof & Justin Yifu Lin & Slavo Radosevic
-   96-113 The Washington Consensus revisited: a new structural economics perspective
 by Justin Yifu Lin
-   114-130 New structural economics meets European transition
 by Erik Berglof
-   131-152 Technology choices and growth: testing New Structural Economics in Transition Economies
 by Randolph Luca Bruno & Elodie Douarin & Julia Korosteleva & Slavo Radosevic
-   153-171 An empirical test of the regional innovation paradox: can smart specialisation overcome the paradox in Central and Eastern Europe?
 by Alessandro Muscio & Alasdair Reid & Lorena Rivera Leon
-   172-187 Economic development and evolving state capacities in Central and Eastern Europe: can “smart specialization” make a difference?
 by Erkki Karo & Rainer Kattel
January 2015, Volume 18, Issue 1
-   1-15 The political economics of investment Utopia: public–private partnerships for urban infrastructure finance
 by Elliott Sclar
-   16-33 Economic reforms, growth and well-being: evidence from India
 by Rashmi Umesh Arora & Shyama Ratnasiri
-   34-50 Unemployment, institutions, and interdependencies: identifying successful reforms
 by Andreas Sachs
-   51-68 Does external shock trigger systemic banking distress?
 by Xiaojun Li & Yan Fang
-   69-88 What matters for growth in Europe? Institutions versus policies, quality versus instability
 by Niclas Berggren & Andreas Bergh & Christian Bjørnskov
October 2014, Volume 17, Issue 4
-   1-1 Editorial Board
 by The Editors
-   285-302 The case of the missing billions: estimating losses to customers due to mis-sold life insurance policies
 by Monika Halan & Renuka Sane & Susan Thomas
-   303-321 Diversity of labor supply incentives and retirement: evidence from Ireland
 by Roman Raab & Brenda Gannon
-   322-340 Poverty dynamics in rural China revisited: do assets matter?
 by Jing You
-   341-359 Revisiting the redistribution effects of intergovernmental fiscal transfers: evidence from Taiwan
 by Tsai-Yuan Huang & Po-Chin Wu & Ching-Wen Yan
-   360-373 Import surveillance and over-invoicing imports: the case of Turkey
 by Zelal Aktaş & Altan Aldan & M. Utku Özmen
July 2014, Volume 17, Issue 3
-   () Erratum
 by The Editors
-   201-208 Contemporary public enterprises: innovation, accountability, governance
 by Massimo Florio
-   209-223 Sustainability reporting in Austrian and German local public enterprises
 by Dorothea Greiling & Birgit Grüb
-   224-235 Public enterprises in the healthcare sector – a case study of Queen Elizabeth Hospital, Greenwich, England
 by Jane Lethbridge
-   236-252 Citizens evaluate public services: a critical overview of statistical methods for analysing user satisfaction
 by Pier Alda Ferrari & Giancarlo Manzi
-   253-266 Public enterprises as policy instruments: the importance of public entrepreneurship
 by Luc Bernier
-   267-284 Organisational form and individual motivation: public ownership, privatisation and fat cats
 by Sonja Grönblom & Johan Willner
April 2014, Volume 17, Issue 2
-   99-128 World Bank trade loans and export performance of recipient countries
 by Mariarosaria Agostino & Francesco Trivieri
-   129-148 Trade liberalisation in fixed and flexible exchange rate regimes: a CGE analysis for Nepal
 by Sanjaya Acharya
-   149-163 The dilemma of “Twin Cities”: is the suburban dependence hypothesis applicable?
 by Shu-Hen Chiang
-   164-177 Financial liberalisation and economic growth in Nigeria: an ARDL-bounds testing approach
 by Erasmus L. Owusu & Nicholas M. Odhiambo
-   178-200 Fuzzy evaluations applied in analysis of infrastructure development based on national competitiveness perspectives
 by Shih- Hsu Wang
January 2014, Volume 17, Issue 1
-   1-12 Does government investment crowd out private investment in China?
 by Xiaoming Xu & Yanyang Yan
-   13-32 Latin American inflation differentials with USA inflation: does Inflation Targeting make a difference?
 by Carlos A. Carrasco & Jesus Ferreiro
-   33-45 Foreign investments in real estate, economic growth and property prices: evidence from OECD countries
 by Hassan Fereidouni Gholipour & Usama Al-mulali & Abdul Hakim Mohammed
-   46-70 The relationship between financial liberalization and stock market volatility: the mediating role of financial crises
 by Aymen Ben Rejeb & Adel Boughrara
-   71-90 Government interventions and the size of the informal economy. The case of Iran (1971–2007)
 by Abbas Khandan & Masoud Nili
-   91-97 A note on the hidden risk of inflation
 by Makram El-Shagi & Sebastian Giesen
December 2013, Volume 16, Issue 4
-   1-1 Editorial Board
 by The Editors
-   303-319 Private finance for public goods: social impact bonds
 by Mildred E. Warner
-   320-335 Structural reforms and fiscal adjustments: policy options for the euro area
 by Bas van Aarle
-   336-348 The gravity model analysis: an application on MERCOSUR trade flows
 by Eduardo Cuenca García & Margarita Navarro Pabsdorf & Estrella Gómez Herrera
-   349-367 Analyzing the effect of advanced agriculture development policy
 by Xiaochun Li & Qin Shen & Chunlei Gu & Meng Ni
-   368-379 Recession, terms of trade, and immigrants
 by Saibal Kar
September 2013, Volume 16, Issue 3
-   237-258 Education and equal opportunities among Liberian children
 by José Cuesta & Ana Abras
-    259-271 Stimulating economic growth in the least developed countries: direct cash transfers for the retired via mobile phones
 by Roy Mersland & Joachim Thøgersen
-   272-286 The relation between capital formation and economic growth: evidence from sub-Saharan African countries
 by Eberechukwu Uneze
-   287-301 The policy (in)effectiveness of government spending in a dependent economy
 by Anthony J. Makin
2013, Volume 16, Issue 2
-   109-122 Endowment, industrial structure, and appropriate financial structure: a new structural economics perspective
 by Justin Lin & Xifang Sun & Ye Jiang
-   123-141 Market power, competition and post-privatization regulation: Evidence from changes in regulation of European airports
 by Germà Bel & Xavier Fageda
-   142-159 Analyzing the role of mutual guarantee societies on bank capital requirements for small and medium-sized enterprises
 by Clara Cardone-Riportella & Antonio Trujillo-Ponce & Anahí Briozzo
-   160-178 Riding the wave: explaining cycles in urban mega-project development
 by Matti Siemiatycki
-   179-197 Rural labour market policies in Croatia, FYR of Macedonia and Turkey
 by Štefan Bojnec
-   198-217 Interest rate pass-through and illiquidity shocks in the US
 by Kuan Min Wang
-    218-235 Social security generosity, budgetary deficits and reforms in North Cyprus
 by Hasan Altiok & Glenn Jenkins
2013, Volume 16, Issue 1
-   1-16 Fiscal imbalances and output crises in Europe: will the fiscal compact help or hinder?
 by Graham Bird & Alex Mandilaras
-   17-30 Financial regulation and supervision in the European Union after the crisis
 by Lucia Quaglia
-   31-45 A disaggregated approach to the determination of government spending multipliers
 by Orcan Cortuk
-   46-67 “Moving” land across borders: spatial shifts in land demand and immiserizing effects
 by Gouranga Das
-   68-89 New empirical evidence of the linkages between governance and economic output in the European Union
 by Bogdan Dima & Stefana Maria Dima & Oana-Ramona Lobont
-   90-107 The institutional, economic and social determinants of local government transparency
 by Daniel Albalate del Sol
2012, Volume 15, Issue 4
-   263-279 Public enterprises, planning and policy adoption: three welfare propositions
 by Chiara Del Bo & Massimo Florio
-   281-299 Financial deregulation, credit allocation across sectors, and economic growth: evidence from China
 by Qichun He
-   301-320 Quantifying opportunities and threats: examining the Canada–EU trade negotiations
 by George Philippidis & Elisavet Kitou
-   321-337 Did the metamorphosis from Export Processing Zones to Special Economic Zones improve the efficiency of trade enclaves in India?
 by Malini Tantri
-   339-354 Monetary institutions and inflation performance: cross-country evidence
 by Bilin Neyapti
2012, Volume 15, Issue 3
-    171-194 Shifting patterns of economic growth and rethinking development
 by Justin Lin & David Rosenblatt
-   195-205 Turkey’s experience with the global crisis: restructuring policies within a financial stability framework
 by Cihan Aktas & Orcan Cortuk
-   207-221 Rents, party cadres and the proliferation of Special Economic Zones in China
 by Lein-lein Chen & Melvin Jameson
-    223-242 Business regulation and taxation: effects on cross-country corruption
 by Rajeev Goel
-   243-255 Measuring the consequences of pension reform applying liquidation and longevity considerations
 by Yawen Hwang & Shihchieh Chang & Shuhan Yang
-   257-262 Jointly issued notes: a financial instrument to improve SME credit worthiness in China
 by Qiang Zhang & Min Wu
2012, Volume 15, Issue 2
-   69-70 Something old, something new… new directions for
 by Judith Clifton
-   71-92 No taxation, no democracy? Taxation, income inequality, and democracy
 by Dae Jin Yi
-   93-108 Complementary association between real activities and accruals-based manipulation in earnings reporting
 by Ching-Lung Chen & Su-Hui Huang & Hung-Shu Fan
-   109-133 Does public capital crowd-out or crowd-in private capital in India?
 by Tarlok Singh
-   135-152 A study on urban private capital and the transfer of labor in the modern agriculture sector
 by Xiaochun Li & Qin Shen
-   153-169 Measuring productivity growth, efficiency change and technical progress in small scale firms in India during pre and post-reform periods
 by Valarmathi Pradeep & Jong-Rong Chen
2012, Volume 15, Issue 1
-   1-4 Editorial
 by Judith Clifton
-   5-11 The regulatory evolution of the post credit crisis fund management industry
 by Daniel Broby
-   13-23 Trade liberalization and economic growth: a case study of Iran
 by Kazem Yavari & Reza Mohseni
-   25-31 Neutralization in China: evidence from the balance sheet of the People’s Bank of China
 by Zhuo Tan & Shenggang Yang
-   33-56 Whose trade statistics are correct? Multiple mirror comparison techniques: a test case of Cambodia
 by Shintaro Hamanaka
-   57-67 Fundamental or speculative factors in the housing markets of emerging economies? Some lessons from China
 by Hrushikesh Mallick & Mantu Mahalik
2011, Volume 14, Issue 4
-   273-294 The golden rule of public finance and the composition of government expenditures: a growth and welfare analysis
 by Max Groneck
-   295-300 Intergovernmental fiscal transfers and local tax efforts: evidence from provinces in China
 by Yongzheng Liu & Jianmei Zhao
-   301-312 Resource windfalls, innovation, and growth
 by Elissaios Papyrakis
-   313-320 Are China’s sovereign credit ratings underestimated?
 by Ke Chen & Cheng Cheng & Shenggang Yang
-   321-332 Potential economic reforms in North Korea: a dynamic general equilibrium model
 by Scott Bradford & Dong-jin Kim & Kerk Phillips
-   333-342 The impact of political factors on military base closures
 by Scott Beaulier & Joshua Hall & Allen Lynch
-    343-348 Taxation and democracy
 by Mihai Mutascu
2011, Volume 14, Issue 3
-   189-199 Explaining TFP growth in the European Union at the sector level
 by Inmaculada Álvarez-Ayuso & M. Jesús Delgado-Rodríguez & M. del Mar Salinas-Jiménez
-   201-213 Economic determinants of deregulation in the gas distribution market
 by Vladimír Hlásny
-   215-225 The welfare impact of policy interventions in the foodgrain markets in Bangladesh
 by Mohammad Alam & Jeroen Buysse & Ismat Begum & Eric Wailes & Guido Van Huylenbroeck
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 Printed from https://ideas.repec.org/s/taf/jecprf.html