Content
September 2024, Volume 71, Issue 4
- 515-541 Restructuring reforms for green growth
by Serhan Cevik & João Tovar Jalles - 542-552 Can the military be a better manager of the economy?
by Mingchao Sun - 553-569 Variation in labor skills and offshoring across time zones
by Alaka Shree Prasad & Biswajit Mandal - 570-587 Cross‐ownership, business dynamism, and wage inequality in general equilibrium
by Hamid Beladi & Chi‐Chur Chao & Kuo‐Hsuan Chin - 588-603 Can local and global geopolitical risk predict governments' military spending behaviour? International evidence
by Minh Phuoc‐Bao Tran & Duc Hong Vo - 604-624 The diverse effects of non‐tariff measures on free trade agreements: Global empirical evidence from binary response models
by Xiao‐Ming Li - 625-648 Privatisation and government spending efficiency: An empirical analysis in Europe
by Beatriz Cuadrado‐Ballesteros & Noemí Peña‐Miguel
July 2024, Volume 71, Issue 3
- 253-275 Political relations and trade: New evidence from Australia, China, and the United States
by Yifei Cai & Jamel Saadaoui & Yanrui Wu - 276-294 Lightening the path to financial development: The power of electricity
by Lei Pan & Richard Adjei Dwumfour & Veasna Kheng - 295-322 Special ones? The effect of head coaches on football team performance
by Alex Bryson & Babatunde Buraimo & Alex Farnell & Rob Simmons - 323-345 Language diversity, gender inequality, and aggregate productivity in Canada
by Kanat Abdulla - 346-378 Forms of fiscal governance in the Euro Area – An update
by Moira Catania & Mark Baimbridge & Ioannis Litsios - 379-415 On the provision of excludable public goods: General taxes or user prices?
by George Economides & Apostolis Philippopoulos - 416-438 The welfare effect of release timing of relative performance evaluation under quantity competition and asymmetric costs
by Jumpei Hamamura & Vinay Ramani - 439-456 Lockdowns, vaccines, and the economy: How economic perceptions were shaped during the COVID‐19 pandemic†
by Vítor Castro & Rodrigo Martins - 457-491 Socioeconomic inequalities and the role of sectoral foreign aid in developing countries
by Admasu Asfaw Maruta & Rajabrata Banerjee - 492-513 Chief Executive Officer's national culture and bank risk‐taking behavior: International evidence
by Quang Duy Luong & Duc Hong Vo & Chi Minh Ho
May 2024, Volume 71, Issue 2
- 145-174 Interim performance information and risk taking in a tournament—Field evidence from professional basketball
by Wen‐Jhan Jane - 175-196 Mega‐events and human rights violations: Empirical evidence from the long‐term perspective
by Gaygysyz Ashyrov & Denis Ivanov - 197-218 Temperature and intimate partner violence
by My Nguyen - 219-236 Life satisfaction and unemployment—The role of gender attitudes and work identity
by Simonetta Longhi & Alita Nandi & Mark Bryan & Sara Connolly & Cigdem Gedikli - 237-252 Informational rents and the excessive entry theorem: The case of hidden action
by Marco de Pinto & Laszlo Goerke & Alberto Palermo
February 2024, Volume 71, Issue 1
- 1-27 A tale of two taxes: State‐dependency of tax policy
by Kerim Peren Arin & Emin Gahramanov & Tolga Omay & Xueli Tang & Mehmet A. Ulubasoglu - 28-40 Income taxation and progressivity: A measure of equitability
by John Creedy & S. Subramanian - 41-74 The impact of the COVID‐19 pandemic on high‐skilled and low‐skilled labor markets in a DSGE model
by Shiou‐Yen Chu - 75-100 Capital misallocation in Chinese industrial firms
by Le Tang & Jun Zhang & Jim Huangnan Shen - 101-131 Judicial efficiency and economic growth: Evidence based on European Union data
by Panayotis Kapopoulos & Anastasios Rizos - 132-143 The geopolitical risk spillovers across BRICS countries: A quantile frequency connectedness approach
by Duc Hong Vo & Tam Hoang‐Nhat Dang
November 2023, Volume 70, Issue 5
- 399-422 Shadow rates as a measure of the monetary policy stance: Some international evidence
by Christina Anderl & Guglielmo Maria Caporale - 423-438 Optimal fiscal policy under monopolistic competition with firm heterogeneity
by Cheng‐wei Chang - 439-458 The role of liquidity in monetary policy transmission: Evidence from Indian banks
by Md Gyasuddin Ansari & Rudra Sensarma - 459-478 Fiscal crises, decentralization, and indiscipline
by Ryota Nakatani - 479-496 A note of caution on the relation between money growth and inflation
by Helge Berger & Sune Karlsson & Pär Österholm
September 2023, Volume 70, Issue 4
- 285-318 Political regimes and financial crises
by Rashad Hasanov & Prasad Sankar Bhattacharya - 319-354 Lobbying and innovation in the European Union
by Konstantinos Dellis - 355-371 Technology adoption in autocratic economies: The role of fiscal capacity
by Thorsten Janus - 372-390 Aristotle vs. Plato: The classical origins of capitalist & socialist political economies
by Theocharis Grigoriadis - 391-397 Edgeworth's taxation paradox when firms engage in cost‐reducing investment
by Kojun Hamada & Takao Ohkawa & Makoto Okamura
July 2023, Volume 70, Issue 3
- 201-216 Biased managers with network externalities
by Kangsik Choi & DongJoon Lee & Ki‐Dong Lee - 217-230 A model of police financing through income and consumption taxes
by Weiguang Deng & Xue Li & Zijun Luo - 231-248 On competitive balance in the group stage of the UEFA Champions League
by Francisco Triguero‐Ruiz & Antonio Avila‐Cano - 249-267 Armed conflicts and women's authority in intra‐household decision making
by Kien Le & My Nguyen - 268-284 Social externalities of women empowerment: Evidence from suffrage movements of late nineteenth and early twentieth century United States
by Hamid Noghanibehambari & Farzaneh Noghani & Nahid Tavassoli
May 2023, Volume 70, Issue 2
- 115-132 Optimistic income expectations and meeting those expectations: What matters for well‐being in a developing country?
by Sha Fan & Renuka Mahadevan - 133-143 Does possessing an installed base induce a proprietary software producer to act aggressively or mildly in pricing and intrinsic quality provision?
by Chung‐Hui Chou - 144-157 Financial globalization and wage inequality
by Jiancai Pi & Kaiqi Zhang & Xiangyu Huang - 158-179 Lobbying, political competition and the welfare effect of campaign contribution tax
by Thanh Le & Erkan Yalcin - 180-199 University attendance and academic performance: Encouraging student engagement
by Siobhan Lucey & Maria Grydaki
February 2023, Volume 70, Issue 1
- 1-18 Individual self‐control and collective outcomes: An examination of cigarette addiction and taxes
by Khawaja A. Mamun & Lorán Chollete - 19-37 Policy innovation through noise in implementation: Best to be grey (or silver) on Friday, in Halifax
by Shaun Hargreaves Heap & Oleksandr Talavera - 38-67 Works council ‘disaffection’ and establishment survivability
by John T. Addison & Paulino Teixeira & Philipp Grunau & Lutz Bellmann - 68-100 Automation and inequality with taxes and transfers
by Rod Tyers & Yixiao Zhou - 101-114 Urban bias and multinational firms
by Jiancai Pi & Xinyi Liu
November 2022, Volume 69, Issue 5
- 465-486 Tax smoothing and optimal inflation persistence in RBC monetary models revisited
by Mehrab Kiarsi - 487-505 Non‐linear revenue evaluation
by Alex Dickson & Ian A. MacKenzie & Petros G. Sekeris - 506-532 On regional integration, fiscal income, and GDP per capita
by Yutao Han & Zhen Song - 533-563 The capital buffer calibration for other systemically important institutions‐Is the country heterogeneity in the EU caused by regulatory capture?
by Michael Sigmund - 564-573 Public sentiment towards economic sanctions in the Russia–Ukraine war
by Vu M. Ngo & Toan L. D. Huynh & Phuc V. Nguyen & Huan H. Nguyen
September 2022, Volume 69, Issue 4
- 345-366 Inequality and growth in the twenty‐first century
by Weijie Luo - 367-395 Markups, inequality and monetary‐fiscal policies
by Shiou‐Yen Chu - 396-415 Monetary policy when the objectives of central bankers are imperfectly observable
by Francesco Salsano - 416-440 Interest rate rules and inflation risks in a macro‐finance model
by Roman Horvath & Lorant Kaszab & Ales Marsal - 441-464 Populism, financial crises and banking policies: Economics and psychology
by Federico Favaretto & Donato Masciandaro
July 2022, Volume 69, Issue 3
- 263-282 R&D intensity and income inequality in the G7: 1870–2016
by Sefa Awaworyi Churchill & Bin Peng & Russell Smyth & Quanda Zhang - 283-300 Dynamic connectedness and spillovers across sectors: Evidence from the Indian stock market
by Ioannis Chatziantoniou & David Gabauer & Hardik A. Marfatia - 301-327 Discretely innovating: The effect of limited market contestability on innovation and growth
by Steven Bond‐Smith - 328-344 Does it matter who extorts? Extortion by competent and incompetent enforcers
by Andrew Samuel & Ajit Mishra
May 2022, Volume 69, Issue 2
- 131-168 Public and private pension systems and macroeconomic volatility in OECD countries
by Mario Holzner & Stefan Jestl & David Pichler - 169-185 Oil shocks and directional predictability of macroeconomic uncertainties of developed economies: Evidence from high‐frequency data†
by Syed Jawad Hussain Shahzad & Rangan Gupta & Riza Demirer & Christian Pierdzioch - 186-224 Why they keep missing: An empirical investigation of sovereign bond ratings and their timing
by Makram El‐Shagi & Gregor von Schweinitz - 225-241 Dynamic version of Okun’s law in the EU15 countries—The role of delays in the unemployment‐output nexus
by Thomas Obst - 242-262 Norwegian oil market concentration and its effects on the oil service companies 1993–2013
by Lars Christian Bruno & Riana Steen
February 2022, Volume 69, Issue 1
- 1-3 Special issue on the economics of the Middle East and North Africa
by David Cobham - 4-22 Structural change and economic development in the Islamic Middle East 700–1500: Population levels and property rights
by Maya Shatzmiller - 23-36 The Arab region: Development without democracya
by Samir Makdisi - 37-59 Adversities in Syria and their relation to their physical and mental health conditions as Syrian refugees in Turkey
by Mehmet Balcilar & Jeffrey B. Nugent & Jiahui Xu - 60-107 White elephants on quicksand: Low oil prices and high geopolitical risk
by Hany Abdel‐Latif & Mahmoud El‐Gamal - 108-130 Monetary policy frameworks in the Middle East and North Africa: How do they compare with other groupings?
by David Cobham
November 2021, Volume 68, Issue 5
- 535-552 Variation in the labour market rewards to vocational qualifications in the UK
by Steven McIntosh & Damon Morris - 553-570 How robustness can change the desirability of speed limit policy
by Kohei Hasui - 571-604 Productivity and efficiency at english football clubs: a random coefficient approach
by Guohua Feng & Todd Jewell - 605-622 Value‐maximizing football clubs
by Aloys Prinz & Stefan Thiem - 623-642 Uncertainty, firm entry, and investment dynamics
by Stelios Giannoulakis - 643-664 Externalities of economic sanctions on performance of intra‐industry non‐sanctioned firms: Evidence from Zimbabwe
by Jie Sun & Lewis Makosa & Jinkun Yang & Fangyuan Yin & Moses Jachi & Wellington Garikai Bonga
September 2021, Volume 68, Issue 4
- 407-433 The U‐shape of happiness in Scotland
by David N. F. Bell & David G. Blanchflower - 434-466 Rental prices in Germany: A comparison between migrants and natives
by Lea Eilers & Alfredo R. Paloyo & Colin Vance - 467-484 The micro‐geography of academic research: How distinctive is economics?
by John Gibson - 485-493 Performance pay and assortative matching
by Keith A. Bender & Colin P. Green & John S. Heywood - 494-516 The transmission of partner mental health to individual life satisfaction: Estimates from a longitudinal household survey
by Paul McNamee & Silvia Mendolia & Oleg Yerokhin - 517-533 Marriage and employment participation with wage bargaining in search equilibrium
by Roberto Bonilla & Alberto Trejos
July 2021, Volume 68, Issue 3
- 287-297 Measuring the effectiveness of US monetary policy during the COVID‐19 recession
by Martin Feldkircher & Florian Huber & Michael Pfarrhofer - 298-321 Can central bank communication help to stabilise inflation expectations?
by Alexander Jung & Patrick Kuehl - 322-344 Swimming upstream throughout the turmoil: Evidence on firm growth during the great recession
by Alessandro Arrighetti & Fabio Landini & Andrea Lasagni - 345-364 Is British output growth related to its uncertainty? Evidence using eight centuries of data
by Don Bredin & Stilianos Fountas & Christos Savva - 365-404 How frequent a BEER? Assessing the impact of data frequency on real exchange rate misalignment estimation
by Claire Giordano
May 2021, Volume 68, Issue 2
- 155-178 Fiscal discipline and exchange rates: Does politics matter?
by Joao Tovar Jalles & Carlos Mulas‐Granados & José Tavares - 179-208 Capital reallocation: A tale of two frictions
by Wei Wang - 209-237 Growth‐equity trade‐offs in structural reforms
by Jonathan D. Ostry & Andrew Berg & Siddharth Kothari - 238-260 Household savings constraints, uncertainty and macroprudential policy
by Conor O'Toole & Kieran McQuinn & Philip Economides - 261-285 Evaluating strange forecasts: The curious case of football match scorelines
by J. James Reade & Carl Singleton & Alasdair Brown
February 2021, Volume 68, Issue 1
- 1-19 Business cycle duration dependence and foreign recessions
by Gabe de Bondt & Philip Vermeulen - 20-50 What has New Zealand gained from The FTA with China?: Two counterfactual analyses†
by Samuel Verevis & Murat Üngör - 51-102 On the asymmetric effects of exchange‐rate volatility on trade flows: Evidence from US–UK Commodity Trade
by Mohsen Bahmani‐Oskooee & Toan Luu Duc Huynh & Muhammad Ali Nasir - 103-125 The stabilization role of police spending in a neo‐Keynesian economy with credit market imperfections
by Pengfei Jia & King Yoong Lim - 126-154 Welfare costs of monetary policy uncertainty in the economy with shifting trend inflation
by Le Thanh Ha & To Trung Thanh & Doan Ngoc Thang
November 2020, Volume 67, Issue 5
- 455-461 Can taxes raise output and reduce inequality? The case of lobbying
by Klaus Prettner & Davud Rostam‐Afschar - 462-468 A note on the gender reservation wage gap in developing countries
by Bilal Muhammad Khan & Muhammad Farhan Majid - 469-485 Explaining fiscal decentralization and the role of ethnic Diversity
by Harry Pickard - 486-522 Politics and the UK's monetary policy
by Fang‐Shuo Chang & Shiu‐Sheng Chen & Po‐Yuan Wang - 523-538 Date of birth and selective schooling: Some lessons from the 1944 education reforms in England and Wales
by Robert A. Hart & Mirko Moro - 539-550 Bonus incentives and team effort levels: Evidence from the “Field”
by Robert Butler & Liam J. A. Lenten & Patrick Massey
September 2020, Volume 67, Issue 4
- 363-386 Consumer foresight, customer data, and investment in targeting technology
by Irina Baye & Geza Sapi - 387-403 The impact of product subsidies on plant‐level total factor productivity in Britain, 1997–2014
by Richard Harris & John Moffat - 404-419 Rent‐seeking, R&D, and productivity
by Yu‐Bong Lai - 420-441 Optimal regulation under imperfect enforcement: Permits, tickets, or both?
by Andrew Samuel & Amy Farmer & Fabio Mendez - 442-447 Maximum‐revenue tariffs versus free trade
by David R. Collie - 448-453 A biased firm in a market with complementary products. A note on the welfare effects
by Clemens Buchen & Alberto Palermo
July 2020, Volume 67, Issue 3
- 231-247 Adam Smith's “tolerable administration of justice” and the Wealth of Nations
by Douglas A. Irwin - 248-271 Measuring cross‐country material wellbeing and inequality using consumer durables
by Arthur Grimes & Sean Hyland - 272-299 Revising the conventional tax‐effort principle
by Basil Dalamagas & John Leventides & Panagiotis Palaios & Stefanos Tantos - 300-321 Subsidizing power
by Jeroen Klomp - 322-343 Where the girls are: Examining and explaining the gender gap in the nursing major
by Jamin D. Speer - 344-361 Organized crime and wage inequality
by Jiancai Pi & Pengqing Zhang
May 2020, Volume 67, Issue 2
- 137-165 Collateral Constraints and the Interest Rate
by Donal Smith - 166-185 The financial costs of political uncertainty: Evidence from the 2016 US presidential elections
by Refk Selmi & Jamal Bouoiyour - 186-200 The effect of fiscal system reform on fiscal policy outcomes
by Sangmok Lee & Hadi Salehi Esfahani - 201-222 Fiscal policy, government size and EMU business cycle synchronization
by Sabrina Bunyan & David Duffy & George Filis & Ishmael Tingbani - 223-230 Endogenous overhead costs, firm size, and fiscal shocks
by Cheng‐wei Chang
February 2020, Volume 67, Issue 1
- 1-30 Reform of the UK Financial Policy Committee
by Alfred Duncan & Charles Nolan - 31-52 Does job design make workers happy?
by Petri Böckerman & Alex Bryson & Antti Kauhanen & Mari Kangasniemi - 53-71 Risk Sharing and Institutional Quality: Evidence from OECD and Emerging Economies
by Balli Faruk & Pierucci Eleonora - 72-99 The Influence of General Strikes against Government on Stock Market Behavior
by Tomasz Piotr Wisniewski & Brendan John Lambe & Alexandra Dias - 100-125 Recent Changes in British Wage Inequality: Evidence from Large Firms and Occupations
by Daniel Schaefer & Carl Singleton - 126-136 Risk preferences estimation of exporting firms under exchange rate uncertainty
by Udo Broll & Soumyatanu Mukherjee & Rudra Sensarma
November 2019, Volume 66, Issue 5
- 605-630 On the Time‐Varying Relationship between Unemployment and Output: What shapes it?
by João Tovar Jalles - 631-648 The Effects of Macroeconomic Policy with a Disparity in Price Elasticity Between Private‐ and Public‐ Sector Demands
by Yasuko Ishiguro - 649-672 Long‐run determinants and misalignments of the real effective exchange rate in the EU
by Mariarosaria Comunale - 673-702 Time–frequency relationship between US inflation and inflation uncertainty: evidence from historical data
by Claudiu Tiberiu Albulescu & Aviral Kumar Tiwari & Stephen M. Miller & Rangan Gupta - 703-711 The growth of manufacturing protection in 1920s Britain
by Brian D. Varian
September 2019, Volume 66, Issue 4
- 489-510 Estimating market power using a composed error model
by Mustafa U. Karakaplan & Levent Kutlu - 511-526 Transport infrastructure investments and competition for FDI
by Kate Hynes & Jie Ma & Cheng Yuan - 527-558 Management practices and SME performance
by John Forth & Alex Bryson - 559-583 An empirical analysis of the Scottish housing market by property type
by Paraskevi Katsiampa & Kyriaki Begiazi - 584-604 Rents from power for a dissident elite and mass mobilization
by Kemal Kivanç Aköz & Pablo Hernández‐Lagos
July 2019, Volume 66, Issue 3
- 331-359 Financial development and economic growth: long‐run equilibrium and transitional dynamics
by Alberto Bucci & Simone Marsiglio - 360-383 Remittances, Dutch Disease, and Manufacturing Growth in Developing Economies
by Sarah Lynne Salvador Daway‐Ducanes - 384-403 Does More Consumption Promote Real GDP Growth?
by Shu‐Yi Liao & Lan‐Hsun Wang & Mao‐Lung Huang - 404-433 Does economic openness affect liberal and electoral democracy in a different way? Empirical evidence from developing countries
by Baris Kablamaci - 434-458 Does the reliability of institutions affect public good contributions? Evidence from a laboratory experiment
by Martin Fochmann & Björn Jahnke & Andreas Wagener - 459-488 Oil Discovery, Political Institutions and Economic Diversification
by Nouf Alsharif & Sambit Bhattacharyya
May 2019, Volume 66, Issue 2
- 215-245 The Geography and Concentration of Authorship in the Top Five: Implications For European Economics
by Simon Ek & Magnus Henrekson - 246-276 Has the 2008 financial crisis and its aftermath changed the impact of inflation on inflation uncertainty in member states of the european monetary union?
by Nima Nonejad - 277-289 Inflation Linkages Within The Eurozone: Core vs. Periphery
by Georgios Magkonis & Abhijit Sharma - 290-313 The exploration of economic crises: parameter uncertainty and predictive ability
by John Nkwoma Inekwe - 314-330 Political uncertainty and stock market volatility: new evidence from the 2014 Scottish Independence Referendum
by Julia Darby & Graeme Roy
February 2019, Volume 66, Issue 1
- 1-4 An empirical assessment of recent challenges in today's financial markets
by Joscha Beckmann & Robert L. Czudaj & Gary Koop - 5-27 Resolving the unbiasedness and forward premium puzzles
by Daniel L. Thornton - 28-53 Understanding low interest rates: evidence from Japan, Euro Area, United States and United Kingdom
by Agnieszka Gehringer & Thomas Mayer - 54-93 Measuring fiscal spillovers in EMU and beyond: A Global VAR approach
by Ansgar H. Belke & Thomas U. Osowski - 94-114 Forecasting European economic policy uncertainty
by Stavros Degiannakis & George Filis - 115-138 Sudden stops in a currency union – some lessons from the euro area
by Lena Kraus & Jürgen Beier & Bernhard Herz - 139-153 Explosive behaviour and long memory with an application to European bond yield spreads
by Robinson Kruse & Christoph Wegener - 154-179 The Behaviour of Banking Stocks During the Financial Crisis and Recessions. Evidence from Changes‐in‐Changes Panel Data Estimations
by Dimitrios Asteriou & Keith Pilbeam & Antonios Sarantidis - 180-197 Volatility persistence and asymmetry under the microscope: the role of information demand for gold and oil
by Georgios Bampinas & Theodore Panagiotidis & Christina Rouska - 198-214 Global Determinants of the Gold Price: A Multivariate Cointegration Analysis
by Michael Murach
November 2018, Volume 65, Issue 5
- 445-478 The one constant: a causal effect of collective bargaining on employment growth? Evidence from German linked‐employer‐employee data
by Tobias Brändle & Laszlo Goerke - 479-500 The role of governance in privatisation reforms: A European analysis
by Noemí Peña‐Miguel & Beatriz Cuadrado‐Ballesteros - 501-527 What role for human capital in the growth process: new evidence from endogenous latent factor panel quantile regressions
by Philip Kostov & Julie Le Gallo - 528-549 Unsafe Sex in the City: Risk Pricing in the London Area
by Alexander Muravyev & Oleksandr Talavera - 550-571 Demand for sexual services in Britain: Does Sex Education Matter?
by Marilena Locatelli & Steinar Strøm - 572-582 A Note on the Wage Effects of the 1972 Raising of the School Leaving Age in Scotland and Northern Ireland
by Franz Buscha & Matt Dickson
September 2018, Volume 65, Issue 4
- 315-327 Scotland as an optimal currency area
by Jane M. Binner & Sajid M. Chaudhry & Andrew W. Mullineux & James L. Swofford - 328-349 Determinants of the Eurosystem's Central Banks Provisions
by Jens Klose - 350-389 The real peso–dollar rate and US–Mexico industry trade: an asymmetric analysis
by Mohsen Bahmani‐Oskooee & Hanafiah Harvey & Scott W. Hegerty - 390-413 Regime‐dependent effects of uncertainty on inflation and output growth: evidence from the United Kingdom and the United States
by Kushal Banik Chowdhury & Srikanta Kundu & Nityananda Sarkar - 414-436 Growing through trade in intermediate goods: the role of foreign growth and domestic tariffs
by Carmen D. Álvarez‐Albelo & Antonio Manresa & Mònica Pigem‐Vigo - 437-443 Does size matter? Implications of household size for economic growth and convergence
by Vadim Kufenko & Vincent Geloso & Klaus Prettner
July 2018, Volume 65, Issue 3
- 205-223 Waste management regulation: policy solutions and policy shortcomings
by Wolfram Berger & Yoko Nagase - 224-247 The impact of public smoking bans on well‐being externalities: Evidence from a policy experiment
by Miaoqing Yang & Eugenio Zucchelli - 248-270 Polarization of life expectancy across countries: Does biological and cultural distance to the health technological frontier matter?
by Wen‐Shuenn Deng & Yi‐Chen Lin & Ming‐Tien Tsai - 271-292 The difference, system and ‘Double‐D’ GMM panel estimators in the presence of structural breaks
by Rosen Azad Chowdhury & Bill Russell - 293-314 Fiscal policy under a minimum‐time objective
by Darong Dai
May 2018, Volume 65, Issue 2
- 105-126 Long‐Term Unemployment and the Great Recession: Evidence from UK Stocks and Flows
by Carl Singleton - 127-141 Population and house prices in the United Kingdom
by Creina Day - 142-153 Location choices and third‐degree spatial price discrimination
by Hong Feng & Jie Ma - 154-185 Democracy, Geography and Model Uncertainty
by Doris A. Oberdabernig & Stefan Humer & Jesus Crespo Cuaresma - 186-204 God save the queen, god save us all? Monarchies and institutional quality
by Sebastian Garmann
February 2018, Volume 65, Issue 1
- 1-26 The influence of media use on layperson monetary policy knowledge in Germany
by Bernd Hayo & Edith Neuenkirch - 27-38 Newspapers and public grants: A matter of quality
by Maria Rosa Battaggion & Alessandro Vaglio - 39-67 Have money and credit data releases helped markets to predict the interest rate decisions of the European Central Bank?
by Alexander Jung - 68-96 Leadership and motivation for public goods contributions
by Bryan C. McCannon - 97-104 Conservative central banks: how conservative should a central bank be?
by Andrew Hughes Hallett & Lorian D. Proske
November 2017, Volume 64, Issue 5
- 445-466 An economic rationale for dismissing low-quality experts in trial
by Chulyoung Kim - 467-482 Sanctions for repeat offenders: a question of wealth?
by Wolfgang Eggert & Steffen Minter & Maximilian Stephan & Handirk Ungern-Sternberg - 483-500 Pre-sale information and hammer prices for Australian Indigenous art
by Lisa Farrell & Tim R.L. Fry - 501-529 Effect of ageing on the ownership of durable goods
by Anikó Bíró - 530-536 A conduct parameter model of price discrimination
by Levent Kutlu
September 2017, Volume 64, Issue 4
- 327-348 Employment expectations and uncertainties ahead of the new German minimum wage
by Mario Bossler - 349-375 Growth in a time of austerity: evidence from the UK
by Juergen Amann & Paul Middleditch