Content
March 2017, Volume 64, Issue 2
- 125-138 Income Distribution and Economic Growth: A Critical Approach
by Philip Arestis & Carolina Troncoso - 139-168 Income Distribution, Productive Structure and Growth in South America
by Claudio Roberto Amitrano - 169-188 Institutional Quality and Income Inequality in the Advanced Countries
by Kosta Josifidis & Novica Supić & Emilija Beker Pucar - 189-222 Are PIIGS so Different? An Empirical Analysis of Demand and Supply Shocks
by Irina SyssoyevaMasson & João Sousa Andrade - 223-244 Economic Crisis and Convergence in the Eurozone Countries
by Jesús Ferreiro & Catalina Gálvez & Carmen Gómez & Ana González - 245-253 Dutch Banking Culture Six Years after the Fall of ABN AMRO Bank
by Irene van Staveren
December 2017, Volume 64, Issue 1
- 1-16 Housing Market in Israel: Is there a Bubble?
by Philip Arestis Author-Email: pa267@cam.ac.uk & Ana Rosa Gonzalez-Martinez - 17-30 Global Output Gap and Domestic Inflation in China
by Chengsi Zhang & Xingchen Ji & Wensheng Dai - 31-44 Dollarization of Deposits in the Short and Long Run: Evidence from CESE Countries
by Branko Urošević & Ivana Rajković - 45-59 Information Arrival and Volatility: Evidence from the Saudi Stock Exchange (Tadawul)
by Hassan Ezzat & Berna Kirkulak- Uludag - 61-76 Fiscal Performance in Monetary Unions: How Much Austerity Should Be Allowed?
by Carmen Díaz-Roldán - 77-92 An Analysis of the Macroeconomic Conditions Required for SME Lending: Evidence from Turkey and Other Emerging Market Countries
by Hatice Jenkins & Monir Hossain - 93-112 The Evolution of the Environmental Kuznets Curve Concept: The Review of the Research
by Romualdas Ginevičius Author-Email: romualdas.ginevicius@vgtu.lt & Giedrė Lapinskienė & Kęstutis Peleckis - 113-123 The Curse of Cash by Kenneth S. Rogoff
by Boris Begović Author-Email: begovic@ius.bg.ac.rs
December 2016, Volume 63, Issue 5
- 503-523 Economic Theories in Competition A New Narrative of the Debate on the General Economic Equilibrium Theory in the 1930s
by Roberto Marchionatti Author-Email: roberto.marchionatti@unito.it & Fiorenzo Mornati Author-Email: fiorenzo.mornati@unito.it - 525-540 On the Concept of Market Concentration, the Minimum Herfindahl-Hirschman Index, and Its Practical Application
by Algirdas Krivka - 541-562 Economic Freedom and Growth: A Panel Cointegration Approach
by Bernur Acikgoz & Anthony Amoah Author-Email: a.amoah@uea.ac.uk & Mine Yılmazer - 563-579 A Time-Varying Parameter VAR Investigation of the Exchange Rate Pass-Through in Turkey
by Abdurrahman Nazif Çatık & Mehmet Karaçuka & Barış Gök - 581-601 Globalization, Economic Freedom, and Wage Inequality: A Panel Data Analysis
by Gülsün Yay & Hüseyin Taştan & Asuman Oktayer - 603-625 Government Debt-Interest Rate Nexus in G7 Countries over a Long Horizon
by Lena Malešević-Perović - 627-636 The Rise and Fall of American Growth: The U.S. Standard of Living since the Civil War by Robert J. Gordon
by Boris Begović
September 2016, Volume 63, Issue 4
- 395-409 The Euler Equation with Habits and Measurement Errors: Estimates on Russian Micro Data
by Irina Khvostova & Alexander Larin & Anna Novak - 411-424 Executive Pay and Market Value Sensitivity
by Feng-Li Lin - 425-439 Does the Quality of Public Policies and Institutions Matter for Entrepreneurial Activity? Evidences from the European Union’s Member States
by Bogdan Dima & Oana-Ramona Lobonţ & Nicoleta-Claudia Moldovan - 441-454 Industrial Diversification and Performance in an Emerging Market
by Emel Yücel & Yıldırım Beyazıt Önal - 455-473 ECB Policy Responses between 2007 and 2014: A Chronological Analysis and an Assessment of Their Effects
by Carlos Rodríguez & Carlos A. Carrasco - 475-492 Subreption, Radical Institutionalism, and Economic Evolution
by John Hall Author-Email: hallj@pdx.edu & Alexander Dunlap & Joe Mitchell-Nelson - 493-501 Global Inequality: A New Approach for the Age of Globalization by Branko Milanovic
by Alpar Lošonc
June 2016, Volume 63, Issue 3
- 259-271 Is Corruption Good or Bad for FDI? Empirical Evidence from Asia, Africa and Latin America
by Abdul Jalil & Amina Qureshi & Mete Feridun - 273-291 Does Debt Ceiling and Government Shutdown Help in Forecasting the US Equity Risk Premium?
by Goodness C. Aye & Frederick W. Deale & Rangan Gupta - 293-312 The Effect of Informal Economy on Income Inequality: Evidence from Turkey
by Adem Y. Elveren & Gökçer Özgür - 313-323 Vertical Spillovers from Multinational Enterprises: Does Technological Gap Matter?
by Rosanna Pittiglio & Filippo Reganati - 325-338 Impact of the Joint-Stock Reform of Commercial Banks on the Effectiveness of Monetary Policy in China
by Xianming Fang & Yu Jiang - 385-394 Inequality: What Can Be Done? by Anthony B. Atkinson
by Alpar Lošonc
April 2016, Volume 63, Issue 2
- 157-174 Brazilian Economic Performance since the Emergence of the Great Recession: The Effects of Income Distribution on Consumption
by Philip Arestis & Carolina Troncoso Baltar & Daniela Magalhães Prates - 175-194 The Conundrum of Greece and the Eurozone: Puzzles, Paradoxes and Contradictions
by Yiannis Kitromilides - 195-210 Lending Calling. Recession by Over-Indebtedness: Description and Specific Features of the Spanish Case
by Antonio Sanabria Martín & Bibiana Medialdea García - 211-230 Bank Rescues and Fiscal Policy in the European Union during the Great Recession
by Jesús Ferreiro & Catalina Gálvez & Carmen Gómez Author-Email: carmen.gomez@ehu.eus & Ana González - 231-258 Redistribution and Transmission Mechanisms of Income Inequality – Panel Analysis of the Affluent OECD Countries
by Kosta Josifidis & Radmila Dragutinović Mitrović & Novica Supić
March 2016, Volume 63, Issue 1
- 1-24 Income Inequality: Implications and Relevant Economic Policies
by Philip Arestis & Ana Rosa Gonzalez-Martinez - 25-43 The Impact of Education on Wage Determination between Workers in Southern and Central-Northern Italy
by Massimiliano Agovino & Antonio Garofalo - 45-60 Does the Wagner’s Hypothesis Hold for China? Evidence from Static and Dynamic Analyses
by Burak Sencer Atasoy & Timur Han Gür - 61-85 Europe’s Future - The Relevance of Keynes’s Economic Consequences of the Peace
by Ivan Vujačić - 87-112 The Wealth Effect in the Eurozone
by Óscar Rodil-Marzábal & Vicente Menezes-Ferreira-Junior - 113-133 Investment Decisions within the Context of Financialization: Cointegration Evidence from the UK Economy
by Constantinos Alexiou & Joseph G. Nellis - 135-146 Policy Implications and Impact of Household Registration System on Peasants’ Willingness to Return Rural Residential Lands: Evidence from Household Survey in Rural China
by Xu Hengzhou & Liu Yuexi - 147-155 Conceptualizing Capitalism: Institutions, Evolution, Future by Geoffrey M. Hodgson
by Alpar Lošonc
December 2015, Volume 62, Issue 5
- 531-555 An Integrated Approach for the Measurement of Inequality, Poverty, and Richness
by Nuno Crespo & Sandrina B. Moreira & Nadia Simoes - 557-579 A Survival Analysis of the Contraction Phases of Business Cycles in Industrial Countries
by Nuri Yildirim - 581-606 Dynamics of Business Cycle Synchronization in Turkey
by Hasan Engin Duran - 607-629 Endogenous Growth Effects of Environmental Policies
by Oscar Afonso & Ana Catarina Afonso - 631-642 Unemployment Hysteresis in the “Nordic Kitten”: Evidence from Five Estonian Regions
by Fumitaka Furuoka - 643-661 Sources of Growth: Evidence from Ten Central and Eastern European Countries during 1993-2008
by Monica Pop Silaghi & Diana Alexa - 663-677 Thomas Piketty’s Capitalism Revisited
by Milić Milovanović - 679-687 Hubris – Why Economists Failed to Predict the Crisis and How Avoid the Next One by Meghnad Desai
by Alpar Lošonc
September 2015, Volume 62, Issue 4
- 409-427 Exchange Rate Pass-Through and the Frequency of Price Adjustment across Different Inflation Regimes
by Pavle Petrović & Zorica Mladenović - 429-451 The Dynamic Effect of ExchangeRate Volatility on Turkish Exports: Parsimonious Error-Correction Model Approach
by Erdal Demirhan & Banu Demirhan - 453-468 Environmental Efficiency Evaluation of China Based on a Kind of Congestion and Undesirable Output Coefficient
by Malin Song & Shuhong Wang - 469-491 Interdependencies of Markets in Southeastern Europe and Buyback of Shares on Shallow Capital Markets: The Application of Cointegration and Causality Tests
by Đorđe Đukić & Mališa Đukić - 493-510 Currency Crises in EU Candidate Countries: An Early Warning System Approach
by Vesna Bucevska - 511-525 Asymmetric Dependence between Efficiency and Market Power in the Taiwanese Life Insurance Industry
by Chung-Chu Chuang & Yu-Chieh Tang - 527-530 Challenges for Europe in the World, 2030 by John Eatwell, Terry McKinley, and Pascal Petit
by Gerald Epstein
June 2015, Volume 62, Issue 3
- 257-266 Core Inflation Indicators for Saudi Arabia
by Ryadh M. Alkhareif & William A. Barnett - 267-285 Exchange Rate and Oil Price Interactions in Transition Economies: Czech Republic, Hungary and Poland
by Tayfur Bayat & Saban Nazlioglu & Selim Kayhan - 287-320 Money Neutrality: Rethinking the Myth
by Fakhri Issaoui & Talel Boufateh & Mourad Guesmi - 321-337 Beyond the GATS: Implicit Engines in Services RTAs
by Alexander Daniltsev & Olga Biryukova - 339-360 Local Financial Development and Capital Accumulations: Evidence from Turkey
by Sibel Balı Eryiğit & Kadir Yasin Eryiğit & Ercan Dülgeroğlu - 361-383 A Study on the Asymmetry of the News Aspect of the Stock Market: Evidence from Three Institutional Investors in the Taiwan Stock Market
by Tzu-Yi Yang & Yu-Tai Yang - 385-400 Global Financial Reform Since 2008: Achievements and Shortcomings
by Dejan Šoškić - 401-407 Homo Economicus: The (Lost) Prophet of Modern Times by Daniel Cohen
by Božo Stojanović
June 2015, Volume 62, Issue 2
- 131-155 Fiscal Policies in the European Union during the Crisis
by Jesús Ferreiro & Catalina Gálvez & Ana González - 157-175 The Fiscal Compact, Cyclical Adjustment and the Remaining Leeway for Expansionary Fiscal Policies in the Euro Area
by Achim Truger - 177-191 On the Origin of European Imbalances in the Context of European Integration
by Carlos A. Carrasco & Patricia Peinado - 193-216 Current Account Imbalances in the EMU: An Assessment of Official Policy Responses
by Nina Dodig & Hansjörg Herr - 217-236 Post-Keynesian Alternative Policies to Curb Macroeconomic Imbalances in the Euro Area
by Eckhard Hein & Daniel Detzer - 237-256 Capital Accumulation, Structural Change and Real Exchange Rate in a Keynesian-Structuralist Growth Model
by José Luis Oreiro & Fabricio Missio & Frederico G. Jayme Jr.
March 2015, Volume 62, Issue 1
- 1-14 Is Job Insecurity a Driver of the Housing Cycle? Some Evidence in the Spanish Case
by Philip Arestis & Ana Rosa González-MartÃnez - 15-31 Contending Conceptions of Competition and the Role of Regulating Capital
by Lefteris Tsoulfidis - 33-54 Exchange Rate and Monetary Fundamentals: Long Run Relationship Revisited
by Niyati Bhanja & Arif Billah Dar & Aviral Kumar Tiwari - 55-76 Stock Returns, Inflation, and Real Activity in Developing Countries: A Markov-Switching Approach
by Atilla Cifter - 77-92 Timing of Adoption of Clean Technologies by Regulated Monopolies
by Slim Ben Youssef - 105-122 The Importance of Corporate Taxation for FDI Attractiveness of Southeast European Countries
by Ines Kersan-Škabić - 123-130 Buying Time: The Delayed Crisis of Democratic Capitalism by Wolfgang Streeck
by Alpar Lošonc
December 2014, Volume 61, Issue 6
- 617-630 Crowding-Out or Crowding-In? Analyzing the Effects of Government Spending on Private Investment in Turkey
by Hüseyin Şen & Ayşe Kaya - 653-667 Contradicting the Twin Deficits Hypothesis: The Role of Tax Revenues Composition
by Alka Obadić & Tomislav Globan & Ozana Nadoveza - 669-689 External Debt and Economic Growth in Tunisia
by Samir Abdelhafidh - 691-707 Interdependence of NAFTA Capital Markets: A Minimum Variance Portfolio Approach
by Francisco López-Herrera & Roberto J. & Edgar Ortiz - 709-721 Liberalism in Foreign Trade versus Liberalism in Air Transportation - Is there a Link?
by Martin Grancay & Nora Szikorova - 723-738 Carl Menger on the Theory of Economic History. Reflections from Bulgaria
by Pencho D. Penchev - 739-757 The Portuguese Residential Real Estate Market. An Evaluation of the Last Decade Abstract: This article presents an integrated vision of the context of the residential real estate market in Portugal. It analyses the evolution of several macroeconomic indicators during the last decade. The article is complemented with the analysis of the house prices, where an evaluation of average prices of apartments in Portugal according to different typologies and regions have been done. Regarding the market environment, several indicators are assessed, such as the evolution of interest rates, the evolution of households’ credit, the consumption and construction confidence indexes and the evolution of foreign direct investment in housing. The conclusion is that after a booming period, the future of the real estate market is somehow worrying
by Fernando A. de Oliveira Tavares & Elisabeth T. Pereira & António Carrizo Moreira - 759-764 Environmental Markets: A Property Rights Approach by Terry L. Anderson and Gary D. Libecap
by Miroslav Prokopijević
October 2014, Volume 61, Issue 5
- 527-542 Index of Macroeconomic Performance for a Subset of Countries: A Kaldorian Analysis from the Magic Square Approach Focusing on Brazilian Economy in the Period 1997-2012
by ViniÌ cius de Azevedo Couto Firme & JoaniÌ lio Rodolpho Teixeira - 543-569 The European Crisis and Global Economy Dynamics: Continental Enlargement versus Atlantic Opening
by AntoÌ nio Mendonça - 571-584 The Repositioning of the Euro Area in the World System: Political and Economic Dimensions
by Augusto Santos Silva - 585-596 African Power in the 21st Century and Beyond
by Neantro Saavedra-Rivano - 597-615 Some Thoughts on Power: International Context
by Kosta Josifidis & Alpar LosÌŒonc - 617-630 Robin Hood versus Piggy Bank: Income Redistribution in Portugal 2006-2010
by Carlos Farinha Rodrigues & Isabel Andrade
September 2014, Volume 61, Issue 4
- 397-413 Inventories of Asian Textile Producers, US Cotton Exports, and the Exchange Rate
by Nazif Durmaz - 415-439 Dimensions of Bank Capital Regulation: A Cross-Country Analysis
by Matej Marinč & Mojmir Mrak & Vasja Rant - 441-469 China’s Unification: Myth or Reality?
by Mario Arturo Ruiz Estrada & Donghyun Park - 471-485 Environmental Kuznets Curve for the Informal Sector of Turkey (1950-2009)
by Ceyhun Elgin & Oğuz Öztunalı - 487-501 Tax Smoothing Hypothesis: A Turkish Case
by Taner Turan & Mesut Karakas & Halit Yanikkaya - 503-515 Identity, Identity Politics, and Neoliberalism
by Mary Wrenn - 517-526 The End of the Developmental State? edited by Michelle Williams
by Huseyin Emrah Karaoguz
June 2014, Volume 61, Issue 3
- 261-274 Economic Growth and Intangible Capitals: Europe versus Asia
by José-Luis Alfaro Navarro & Victor-Raúl López Ruiz & Domingo Nevado Peña - 275-288 Contagion Effects of the Global Financial Crisis in US and European Real Economy Sectors
by Dimitris Kenourgios & Dimitrios Dimitriou - 289-316 Aging Population and Public Pensions: Theory and Macroeconometric Evidence
by Miroslav Verbič & Rok Spruk - 317-329 Occupational Sex Segregation and Working Time: Regional Evidence from Germany
by Stephan Humpert - 331-348 How Are Interbank and Sovereign Debt Markets Linked? Evidence from 14 OECD Countries, the Euro Area and Russia
by Mikhail Stolbov - 349-367 Development of a Methodology of Evaluation of Financial Stability of Commercial Banks
by Willem Karel M. Brauers & Romualdas Ginevičius & Askoldas Podviezko - 369-387 Did Economic Inequality Cause the Economic Crisis
by Danilo Šuković - 389-395 Austerity: The History of a Dangerous Idea by Mark Blyth
by Alpar Lošonc
March 2014, Volume 61, Issue 2
- 145-160 The Housing Market-Bank Credit Relationship: Some Thoughts on Its Causality
by Philip Arestis & Ana Rosa González - 161-192 Political Economy of Love: Nurturance Gap, Disembedded Economy and Freedom Constraints within Neoliberal Capitalism
by Phillip Anthony O’Hara - 193-206 Determinants of Non-Performing Loans: The Case of Eurozone
by Vasiliki Makri & Athanasios Tsagkanos & Athanasios Bellas - 207-225 Financing Health Care Expenditure in the OECD Countries: Evidence from a Heterogeneous, Cross-Sectional Dependent Panel
by Felipa de Mello-Sampayo & Sofia de Sousa-Vale - 227-239 Twin Deficits in Small Open Baltic Economies
by Veronika Å uliková & Marianna SiniÄ Ã¡ková & Denis Horváth - 241-252 International Portfolio Diversification: United States and South Asian Equity Markets
by Rizwan Mushtaq & Syed Zulfiqar Ali Shah - 253-259 Economics of Identity by George A. Akerlof and Rachel E. Kranton
by Božo Stojanović
Februar 2014, Volume 61, Issue 1
- 1-19 French Public Finances at Risk?
by Jérôme Creel & Paul Hubert & Francesco Saraceno - 21-38 Fiscal Policy and Rebalancing in the Euro Area: A Critique of the German Debt Brake from a Post-Keynesian Perspective
by Eckhard Hein & Achim Truger - 39-57 Is There an Alternative Strategy for Reducing Public Debt by 2032?
by Christophe Blot & Marion Cochard & Jérôme Creel & Bruno Ducoudré & Danielle Schweisguth & Xavier Timbeau - 59-78 The European Central Bank and the US Federal Reserve as Lender of Last Resort
by Hansjörg Herr - 79-106 Inflation Targeting in Advanced vs. Emerging Economies before and after the Crisis
by Kosta Josifidis & Emilija Beker Pucar & Slađana Srdić & Gabriela Ivan - 107-127 Implementing a Voluntary Wage Policy: Lessons from the Irish and Spanish Wages Policies before the Crisis
by Jesús Ferreiro & Carmen Gómez - 129-143 Fiscal Crisis, Social Security Reform and Vulnerable Population
by Patricia Peinado & Felipe Serrano
December 2013, Volume 60, Issue 6
- 707-723 Effects on Taxation on the Forecasting of Income Inequality: Evidence from Germany, Greece, and Italy
by Guglielmo D’Amico & Giuseppe Di Biase & Raimondo Manca - 725-741 Determinants of Dividend Policy: Evidence from Listed Firms in the African Stock Exchanges
by Matthias Nnadi & Nyema Wogboroma & Bariyima Kabel - 743-757 Are the Global REIT Markets Efficient by a New Approach?
by Hao Fang & Yen-Hsien Lee - 759-773 Synchronization of Business Cycles in the Selected European Countries
by Saša Obradović & Vladimir Mihajlović - 775-789 Asymmetric Correlation of Sovereign Bond Yield Dynamics in the Eurozone
by Silvo Dajcman - 791-812 Testing for Causality between the Foreign Direct Investment, Current Account Deficit, GDP and Total Credit: Evidence from G7
by Yusuf Ekrem Akbas & Mehmet Senturk & Canan Sancar - 813-836 Challenging the Raison d’etre of Internal Devaluation in the Context of the Greek Economy
by Constantinos Alexiou & Joseph G. Nellis - 837-845 China's Road to Capitalism How China Became Capitalist by Ronald Coase and Ning Wang
by Božo Stojanović
September 2013, Volume 60, Issue 5
- 577-592 Mistakes in the Fiscal Policy in Spain before the Crisis
by Jesús Ferreiro & Carmen Gómez & Felipe Serrano - 593-614 Impact of the Subprime Crisis on Commercial Banks’ Financial Performance
by Hao Fang & Yang-Cheng Lu & Chi-Wei Su - 615-631 Bank Wholesale Funding and Credit Procyclicality:Evidence from Korea
by Sangjun Jeong & Hueechae Jung - 633-647 Causality between Regional Stock Markets: A Frequency Domain Approach
by Nikola Gradojević & Eldin Dobardžić - 649-666 American Growth and Napoleonic Wars
by Hasan Vergil & M. Erdem Ozgur - 667-686 Income Redistribution through Taxes and Social Benefits: The Case of Slovenia and Croatia
by Mitja ÄŒok & Ivica Urban & Miroslav VerbiÄ - 687-698 France and Germany Nuclear Energy Policies Revisited: A Veblenian Appraisal
by Pascal Petit - 699-705 Rebel Cities: From the Right to the City to the Urban Revolution by David Harvey
by Dušan Marinković
June 2013, Volume 60, Issue 4
- 433-455 The Crisis of the Core Seen through the Eyes of the Periphery: A Schelling Model of the Global-South Megacity and the European Crisis
by Gary A. Dymski - 457-472 Wagner’s Law versus Keynesian Hypothesis: Evidence from pre-WWII Greece
by Antoniou Antonis & Katrakilidis Constantinos & Tsaliki Persefoni - 473-497 Which Global Stock Indices Trigger Stronger Contagion Risk in the Vietnamese Stock Market? Evidence Using a Bivariate Analysis
by Kuan-Min Wang & Hung-Cheng Lai - 499-513 The Turkish Stock Market Integration with Oil Prices: Cointegration Analysis with Unknown Regime Shifts
by Umut Halaç & Fatma Dilvin Taşkın & Efe Çağlar Çağlı - 515-540 Capital Flows, Real Exchange Rates, and Capital Controls: What Is the Scope of Liberalization for Tunisia?
by Fatma Marrakchi Charfi - 541-555 Financial Effects of the International Migration in Europe: Modelling the Decision to Remit
by Monica Roman - 557-568 Equilibrium-Oriented Housing Supply: A Case Study of Chengdu City, China
by Ge He - 569-576 The Riddle of Thinking Thinking, Fast and Slow by Daniel Kahneman
by Božo Stojanović
May 2013, Volume 60, Issue 3
- 249-290 Finance Capitalism: A Look at the European Financial Accounts
by Massimo Cingolani - 291-310 The Euro Zone Peripheral Countries’ Sovereign Debt Crisis: Also a Case of Non-Mature Democracies?
by Abel L. Costa Fernandes & Paulo R. Mota - 311-321 The EU Financial Transactions Tax: Antecedents and Current Debate
by Yiannis Kitromilides & Ana Rosa González - 323-345 Eastern Migrations vs Western Welfare States – (Un)Biased Fears
by Kosta Josifidis & John Hall & Valérie Berenger & Novica Supić - 347-364 Family and Childcare Support Public Expenditures and Short-Term Fertility Dynamics
by Cosmin Enache - 365-380 Can Immigrant Remittances Support Development Finance?
by Alex Julca - 381-396 Exchange Rate Misalignment, Capital Accumulation and Income Distribution Theory and Evidence from the Case of Brazil
by José Luis Oreiro & Eliane Araujo - 397-414 Conflicts between Agricultural Policy and Sustainable Land Use: The Case of Northern Spain
by Juan Ramón Murua & Inmaculada Astorkiza & Begoña EguÃa - 415-431 Changing the Total Allowable Catch (TAC) Decision-Making Framework: A Central Bank of Fishes?
by Kepa Astorkiza & Ikerne del Valle
April 2013, Volume 60, Issue 2
- 139-159 The Application of Data Envelopment Analysis Based Malmquist Total Factor Productivity Index: Empirical Evidence in Turkish Banking Sector
by Yasemin Keskin Benli & Suleyman Degirmen - 161-178 Financial Integration, Euro and the Twin Deficits of Southern Eurozone Countries
by Nikolina E. Kosteletou - 179-202 The Purchasing Power Parity in Emerging Europe: Empirical Results Based on Two-Break Analysis
by Zorica Mladenović & Kosta Josifidis & Slađana Srdić - 203-230 Foreign Reserves as Hedging Instruments in Emerging Countries
by Marcello Spanò - 231-247 Out of Sample Value-at-Risk and Backtesting with the Standardized Pearson Type-IV Skewed Distribution
by Stavros Stavroyiannis & Leonidas Zarangas
March 2013, Volume 60, Issue 1
- 1-17 Moving from Inflation Targeting to Prices and Incomes Policy
by Philip Arestis & Malcolm Sawyer - 51-71 The Stylized Facts of Greek Inflation: New Evidence on Persistence
by Nicholas Apergis - 73-87 Does Globalization Lead to a Rat Race of National Labor-Market Institutions?
by Peter J. Stauvermann - 89-101 Monetary Determinants of Deposit Euroization in European Post-Transition Countries
by Marina Tkalec - 103-132 Efficience des banques commerciales Tunisiennes: etude par l’approche de frontière stochastique
by Bannour Boutheina & Labidi Moez - 133-137 Applied Time Series Analysis by Zorica Mladenović and Aleksandra Nojković
by Slađana Srdić
December 2012, Volume 59, Issue 5
- 529-552 Policy Responses to the European Debt Crisis Treating the “Symptoms†or the “Disease†?
by Angelos A. Antzoulatos - 553-581 Développement financier, croissance de long terme et effets de seuil
by Jean-Pierre Allegret & Sana Azzabi - 583-598 The Two Sector Model of Learning-By Doing and Productivity Differences
by Tuna Dinç - 599-608 Does Inflation Targeting Work in Emerging East-Asian Economies?
by Siok Kun Sek & Wai Mun Har - 609-623 Environmental Kuznets Curve and Growth Source in Iran
by Maryam Asghari - 625-646 Marchés obligataires et crises bancaires dans les pays émergents: le rôle des institutions
by Jamel Boukhatem - 647-653 The Puzzle of Modern Economics, Science or Ideology? by Roger E. Backhouse
by Alpar Lošonc
September 2012, Volume 59, Issue 4
- 393-419 How Do Institutions Affect Structural Unemployment in Times of Crises?
by Davide Furceri & Annabelle Mourougane - 421-440 The Neoliberal Policy Paradigm and the Great Recession
by Howard Stein - 441-462 Capital Flows and Economic Growth across Spectral requencies: Evidence from Turkey
by Nuri Yildirim & Huseyin Tastan - 463-474 Sensitivity of Stock Market Indices to Oil Prices: Evidence from Manufacturing Sub-Sectors in Turkey
by Ibrahim Halil Eksi & Mehmet Senturk & H. Semih Yildirim - 475-499 Estimating the Impact of the Balassa-Samuelson Effect in Central and Eastern European Countries: A Revised Analysis of Panel Data Cointegration Tests
by Mirjana Miletić - 501-519 Value and Power in Economics
by Kosta Josifidis & Alpar Lošonc - 521-527 Modern Political Economics: Making Sense of the Post-2008 World by Yanis Varoufakis, Joseph Halevi, and Nicholas J. Theocarakis
by Alpar Lošonc
June 2012, Volume 59, Issue 3
- 267-281 Jackknife Model Averaging of the Current Account Determinants
by Branko Urošević & Milan Nedeljković & Emir Zildžović - 283-292 Initial Evidence from a New Database on Capital Market Restrictions
by Makram El-Shagi - 293-310 Using Fuzzy Logic for Evaluating the Level of Countries’ (Regions’) Economic Development
by Gordan Stojić - 311-324 Does Gibrat’s Law Hold in the Insurance Industry of China? A Test with Sequential Panel Selection Method
by Guochen Pan & Sen-Sung Chen & Tsangyao Chang - 325-334 Nonlinearity and Fractional Integration in the US Dollar/Euro Exchange Rate
by Burcu Kıran - 335-353 Changes in Relative Material Deprivation in Regions of Slovakia and the Czech Republic
by Tomas Zelinsky - 355-367 Effects of Serbian Accession to the European Union
by Mario Holzner & Valentina Ivanić - 369-386 Knowledge Based Economy: The Role of Expert Diaspora
by Jovan Filipović & Srečko Devjak & Goran Putnik - 387-392 Mikroekonomska analiza (Microeconomic Analysis) by Milić Milovanović
by Božo Stojanović
May 2012, Volume 59, Issue 2
- 135-156 An Empirical Study of Exchange Rate Pass-Through in China
by Xiaowen Jin - 157-183 Heterogeneity of Growth in the West Balkans and Emerging Europe: A Dynamic Panel Data Model Approach
by Kosta Josifidis & Radmila Dragutinović Mitrović & Olgica Ivančev - 185-199 Robust Monetary Policy in a Currency Union
by Olga Kuznetsova - 201-216 Strategic Interaction Between Fiscal and Monetary Policies in an Export-Oriented Economy
by Sergey Merzlyakov - 217-234 Liquidity, Welfare and Distribution
by Samuel Gil Martín