Content
2019, Issue 158
- 51-63 Can West African countries catch up with Nigeria? Evidence from smooth nonlinearity method in fractional unit root framework
by OlaOluwa S.Yaya & Pui Kiew Ling & Fumitaka Furuoka & Chinyere Mary Rose Ezeoke & Ray Ikechukwu Jacob - 64-76 An examination of trade-weighted real exchange rates based on fractional integration
by Luis Alberiko Gil-Alana & Tommaso Trani - 77-90 Vine copula-based dependence and portfolio value-at-risk analysis of the cryptocurrency market
by Gideon Boako & Aviral Kumar Tiwari & David Roubaud - 91-103 The importance of the financial system for the current account in Sweden: A sectoral approach
by Erik Spanberg & Hovick Shahnazarian
2019, Issue 157
- 1-22 Exchange rate predictability in emerging markets
by Elisa Baku - 23-32 Volatility estimation for Bitcoin: Replication and robustness
by Amélie Charles & Olivier Darné - 33-54 Cross-border interbank contagion in the European banking sector
by Silvia Gabrieli & Dilyara Salakhova - 55-67 Iterative solutions for structural gravity models in panels
by Aurélien Poissonnier - 68-81 From nominal devaluations to real depreciations
by Carl Grekou - 82-98 Multiple time-scales analysis of global stock markets spillovers effects in African stock markets
by Grakolet Arnold Z.Gourène & Pierre Mendy & Gilbert Marie N'gbo Ake - 99-116 Is a more financially open world riskier?
by Mikhail Stolbov - 117-133 Conditional quantiles and tail dependence in the volatilities of gold and silver
by Elie Bouri & Naji Jalkh - 134-169 Do economic openness and institutional quality influence patents? Evidence from GMM systems estimates
by Nguyen Phuc Canh & Christophe Schinckus & Su DinhThanh - 170-178 The chain version of Heckscher-Ohlin theory correctly predicts U.S. trade flows!
by Nevin Cavusoglu - 179-202 The accuracy of asymmetric GARCH model estimation
by Amélie Charles & Olivier Darné - 203-226 Foreign direct investment and wage dispersion: Evidence from French employer-employee data
by Catherine Laffineur & Alexandre Gazaniol
2018, Issue 156
- 1-14 Sovereign risk and the real exchange rate: A non-linear approach
by Jair N. Ojeda-Joya & Gloria Sarmiento - 15-30 Asymmetric impacts of public and private investments on the non-oil GDP of Saudi Arabia
by Walid Mensi & Syed Jawad Hussain Shahzad & Shawkat Hammoudeh & Khamis Hamed Al-Yahyaee - 31-44 The causal effect of reducing trade policy uncertainty: A comparative case study of Bangladesh's textile exports to Switzerland
by Christian Ritzel & Andreas Kohler & Stefan Mann & Silviu Beciu - 45-60 Are all cycles alike? An empirical investigation of regional and global factors in developed and emerging economies
by Zouhair Ait Benhamou - 61-76 Who fears or favors globalization? Evidence from individual-level survey data in Japan
by Koichi Kagitani & Kozo Harimaya - 77-85 Re-examination of the convergence hypothesis among OECD countries: Evidence from Fourier quantile unit root test
by Mohsen Bahmani-Oskooee & Tsangyao Chang & Zahra (Mila) Elmic & Omid Ranjbar - 86-97 Globalization and terror in Africa
by Simplice A. Asongu & Nicholas Biekpe - 98-116 Reducing model risk in early warning systems for banking crises in the euro area
by Virginie Coudert & Julien Idier - 117-126 Under pressure: Dynamic pass-through of oil prices to the RUB/USD exchange rate
by Svetlana Fedoseeva - 127-135 Do renewable energies improve energy security in the long run?
by Emmanuel Hache - 136-155 Shocks to the international prices of agricultural commodities and the effects on welfare and poverty. A simulation of the ex ante long-run effects for Uruguay
by Pedro Moncarz & Sergio Barone & Ricardo Descalzi - 156-174 Forecasting currency crises with threshold models
by Terence T.L. Chong & Isabel K. Yan - 175-192 Estimating value-at-risk using a multivariate copula-based volatility model: Evidence from European banks
by Marius Galabe Sampid & Haslifah M.Hasim - 193-205 Income level and the emissions, energy, and growth nexus: Evidence from Asia and the Pacific
by Thai-Ha Le & Euston Quah - 206-230 EQCHANGE: A World Database on Actual and Equilibrium Effective Exchange Rates
by Cécile Couharde & Anne-Laure Delatte & Carl Grekou & Valérie Mignon & Florian Morvillier - 231-246 Natural resource curse in oil exporting countries: A nonlinear approach
by Olivier Damette & Majda Seghir - 247-253 Impact of macroeconomic news surprises and uncertainty for major economies on returns and volatility of oil futures
by Walid Bahloul & Rangan Gupta - 254-267 Environment-energy-growth nexus in Sub-Saharan Africa: The role of intermediate goods
by Mohamed Amine Boutabba & Diadié Diaw & Albert Lessoua - 268-283 Dynamics of net foreign asset components in the EMU
by Tatiana Cesaroni & Roberta De Santis - 284-304 How do Islamic versus conventional equity markets react to political risk? Dynamic panel evidence
by Walid M.A. Ahmed - 305-325 How important are global geopolitical risks to emerging countries?
by Chak Hung Jack Cheng & Ching-Wai (Jeremy) Chiu - 326-364 Governance and economic growth: The role of the exchange rate regime
by Salma Hadj Fraj & Mekki Hamdaoui & Samir Maktouf
2018, Issue 155
- 1-2 Introduction to the special issue: Social values of carbon and climate policy signals in the post-COP21 context
by Etienne Espagne & Jean-Charles Hourcade - 3-7 Pricing carbon removal
by Alfredo Sirkis - 8-18 Social value of mitigation activities and forms of carbon pricing
by Jean-Charles Hourcade & Antonin Pottier & Etienne Espagne - 19-28 The role of financing cost and de-risking strategies for clean energy investment
by Jan Christoph Steckel & Michael Jakob - 29-47 SCCs and the use of IAMs: Let's separate the wheat from the chaff
by Etienne Espagne & Antonin Pottier & Baptiste Perrissin Fabert & Franck Nadaud & Patrice Dumas - 48-60 On the link between oil and agricultural commodity prices: Do biofuels matter?
by Anthony Paris - 61-68 Overcoming the financial barrier to a low emission development strategy in Brazil
by E. L. La Rovere & C.Grottera & W.Wills - 69-83 The Landscape of domestic climate investment and finance flows: Methodological lessons from five years of application in France
by Hadrien Hainaut & Ian Cochran - 84-91 Guaranteeing sustainable infrastructure
by Rogerio Studart & Kevin Gallagher - 92-108 Debt and damages: What are the chances of staying under the 2C warming threshold?
by Emmanuel Bovari & Oskar Lecuyer & Florent Mc Isaac
2018, Issue 154
- 1-2 Introduction to the special issue: Firms, trade and productivity: Empirical analysis based on recent theoretical advances
by Massimo Del Gatto - 3-22 The revealed cost competitiveness of changing trade patterns: A country-sector exercise
by Massimo Del Gatto - 23-47 Relaxing credit constraints in emerging economies: The impact of public loans on the productivity of Brazilian manufacturers
by Filipe Lage de Sousa & Gianmarco I.P. Ottaviano - 48-67 Productivity and wage premiums: Evidence from Vietnamese ordinary and processing exporters
by Mai T.P. Vu & Flora Bellone & Marion Dovis - 68-85 The exchange rate, asymmetric shocks and asymmetric distributions
by Calin-Vlad Demian & Filippo di Mauro - 86-107 Governance, value chain positioning and firms' heterogeneous performance: The case of Tuscany
by Giorgia Giovannetti & Enrico Marvasi
2018, Issue 153
- 1-2 Editorial
by Sébastien Jean & Mario Larch & Valérie Mignon - 3-10 Analyzing Global and Regional Value Chains
by Koen De Backer & Philippe De Lombaerde & Lelio Lapadre - 11-33 International production networks and the world trade structure
by Isabella Cingolani & Lelio Iapadre & Lucia Tajoli - 34-41 Value chains in Europe and Asia: Which countries participate?
by Richard Pomfret & Patricia Sourdin - 42-54 Global value chains: New evidence for North Africa
by Davide Del Prete & Giorgia Giovannetti & Enrico Marvasic - 55-68 Value chains and the great recession: Evidence from Italian and German firms
by Antonio Accetturo & Anna Giunta - 69-79 The puzzle of measuring global value chains – The business statistics perspective
by Peter Bøegh Nielsen
2017, Issue 152
- 1-8 Comment: Inferring trade costs from trade booms and trade busts
by Guillaume Corlay & Stéphane Dupraz & Claire Labonne & Anne Muller & Céline Antonin - 9-20 Offshore renminbi trading: Findings from the 2013 Triennial Central Bank Survey
by Yin-Wong Cheung & Matthew S.Yiu - 21-25 Relationships between international tourism and modes of foreign market access
by Akinori Tomohara - 26-54 Financial liberalization and systemic banking crises: A meta-analysis
by Mekki Hamdaoui - 55-62 An empirical model of diversification cones and wage inequality for the states of Brazil
by Eleydiane Maria Gomes Vale & João Mário deSantos De Frnança - 63-78 On the link between current account and oil price fluctuations in diversified economies: The case of Canada
by Blaise Gnimassoun & Marc Joëts & Tovonony Razafindrabe - 79-90 Internationalization modes and productivity of Italian manufacturing: Some firm-level evidence
by Rosa Capolupo & Vito Amendolagine & Laura Serlenga - 91-106 Understanding the decision-making process of sovereign wealth funds: The case of Temasek
by J.Y. Gnabo & M. Kerkour & C. Lecourt & H. Raymond - 107-115 Does the J-curve hypothesis hold for a small open economy? Evidence from time-varying coefficients of a distributed-lag model for Tunisia
by Mohamed Mehdi Jelassi & Jamel Trabelsi & Maryem Turki - 116-123 Central bank policy rates: Are they cointegrated?
by Guglielmo Maria Caporale & Hector Carcel & Luis Gil-Alana - 124-144 Exchange rate misalignments in energy-exporting countries: Do sovereign wealth funds matter?
by Hélène Raymond & Dramane Coulibaly & Luc Désiré Omgba
2017, Issue 151
- 1-6 CO2 emissions, renewable and non-renewable energy consumption, and economic growth: Evidence from panel data for developing countries
by Katsuya Ito - 7-25 From natural resource boom to sustainable economic growth: Lessons from Mongolia
by Bin Grace Li & Pranav Gupta & Jiangyan Yu - 26-47 Manufacturing export diversification and regionalization of trade: Which destinations for newly exported goods?
by Julie Regolo - 48-65 The role of confidence shocks in business cycles and their global dimension
by Stéphane Dees - 66-70 Dutch disease and Russia
by Katsuya Ito - 71-84 On the drivers of inflation in Sub-Saharan Africa
by Anh D.M. Nguyen & Jemma Dridib & Filiz D. Unsal & Oral H. Williams - 85-99 A quality-adjusted AIDS model in the study of French imports
by Dr. Thannaletchimy Thanagopal & Félix Housset
2017, Issue 150
- 1-18 Spillovers between food and energy prices and structural breaks
by Alanoud Al-Maadid & Guglielmo Maria Caporale & Fabio Spagnolo & Nicola Spagnolo - 19-35 Non-linearity in the finance-growth nexus: Evidence from Indonesia
by Wahyoe Soedarmono & Iftekhar Hasan & Nuruzzaman Arsyad - 36-56 The role of financial conditions in transmitting external shocks to South Africa
by Thanda Sithole & Beatrice D. Simo-Kengne & Modeste Some - 57-71 Do countries' endowments of non-renewable energy resources matter for FDI attraction? A panel data analysis of 125 countries over the period 1995–2012
by Aurora A.C. Teixeira & Rosa Forte & Susana Assunção - 72-79 CPI and inflation in Kenya. Structural breaks, non-linearities and dependenceOriginal Research Article
by Luis A. Gil-Alana & Robert Mudida - 80-95 Energy taxes, reforms and income inequality: An empirical cross-country analysis
by Walid Oueslati & Vera Zipperer & Damien Rousselière & Alexandros Dimitropoulos
2017, Issue 149
- 1-14 Crisis, potential output and hysteresis
by Annabelle Mourougane - 15-26 Wealth effects on world private financial saving
by Ray C. Fair - 27-40 Plant exit and U.S. imports from low-wage countries
by David L. Rigby & Thomas Kemeny & Abigail Cooke - 41-56 Do preferential trade agreements contribute to the development of trade? Taking into account the institutional heterogeneity
by Philippe Saucier & Arslan Tariq Rana - 57-73 Financial stress and economic dynamics: The case of France
by Sofiane Aboura & Bjoern van Roye - 74-86 A dynamic IS-LM-X model of exchange rate adjustments and movements
by Peijie Wang
2016, Issue 148
- 1-15 Are trade integration and the environment in conflict? The decisive role of countries’ strategic interactions
by Lisa Anouliès - 16-30 Exchange rate, political environment and FDI decision
by Ivan Deseatnicov & Hiroya Akiba - 31-40 On financial liberalization and long-run risk sharing
by Mark J. Holmes & Jesús Otero - 41-58 Firms' leverage and export market participation: Evidence from South Korea
by Haeng-Sun KIM - 59-80 Dynamic spillovers between Nigerian, South African and international equity markets
by Babajide Fowowe & Mohammed Shuaibu - 81-94 Terrorism and capital flight from Africa
by Uchenna Efobi & Simplice Asongu
2016, Issue 147
- 1-26 Economic and political determinants of exchange rate regimes: The case of Latin America
by Cesar M. Rodriguez - 27-52 New evidence on the (de)synchronisation of business cycles: Reshaping the European business cycle
by Veaceslav Grigoras & Irina Eusignia Stanciu - 53-106 Fiscal policy and private investment in Greece
by Maria Th. Kasselaki & Athanasios O. Tagkalakis - 107-125 Does monetary policy matter for trade?
by Kin-Ming Wong & Terence Tai-Leung Chong - 126-144 Is the European banking system robust? An evaluation through the lens of the ECB?s Comprehensive Assessment
by Guillaume Arnould & Salim Dehmej - 145-154 Forecasting the Great Trade Collapse
by Hakan Yilmazkuday
2016, Issue 146
- 1-11 Evidence on the functional form of inflation and output growth variability relationship in European economies
by Muhammad Khan - 12-39 A methodology to estimate the costs of data regulations
by Erik van der Marel & Matthias Bauer & Hosuk Lee-Makiyama & Bert Verschelde - 40-58 A self-organizing map analysis of survey-based agents? expectations before impending shocks for model selection: The case of the 2008 financial crisis
by Oscar Claveria & Enric Monte & Salvador Torra - 59-84 Fiscal multipliers in Emerging Market Economies: Can we learn something from Advanced Economies?
by Marie-Pierre Hory - 85-107 Burley Tobacco Clubs in Malawi: Nonmarket Institutions for Exports
by Mariano Negri & Guido G. Porto - 108-140 Food Prices and Inflation Targeting in Emerging Economies
by Marc Pourroy & Benjamin Carton & Dramane Coulibaly - 141-157 The Interactive Relationship Between the US Economic Policy Uncertainty and BRIC Stock Markets
by Imen Dakhlaoui & Chaker Aloui
2016, Issue 145
- 1-6 International Trade, FDI and Growth: Some Interactions
by Sophie Brana - 7-20 Determinants for locating research and development activity in Europe
by Sylvie Montout & Mina Sami - 21-31 Technology spillover and TFP growth: A spatial Durbin model
by Aligui Tientao & Diego Legros & Marie Claude Pichery - 32-49 Employment Effects of Foreign Direct Investment: New evidence from Central and Eastern European Countries
by Cristina Jude & Monica Ioana Pop Silaghi - 50-65 The Role of Sectoral FDI in Promoting Agricultural Production and Improving Food Security
by Mehdi Ben Slimane & Marilyne Huchet-Bourdon & Habib Zitouna - 66-91 The Effect of Macroeconomic Instability on FDI Flows: A Gravity Estimation of the Impact of Regional Integration in the Case of Euro-Mediterranean Agreements
by Dalila Chenaf-Nicet & Eric Rougier - 92-110 Do exchange rate misalignments really affect economic growth? The case of Sub-Saharan African countries
by Ferdinand Owoundi
2015, Issue 144
- 1-28 Product market regulation and wage premia in Europe and North America: An empirical investigation
by Sébastien Jean & Giuseppe Nicoletti - 29-52 Africa: Out of debt, into fiscal space? Dynamic fiscal impact of the debt relief initiatives on African Heavily Indebted Poor Countries (HIPCs)
by Danny Cassimon & Bjorn Van Campenhout & Marin Ferry & Marc Raffinot - 53-65 Does exchange rate volatility hurt domestic consumption? Evidence from emerging economies
by Mohsen Bahmani-Oskooee & Ali M. Kutan & Dan Xif - 66-82 The determinants of trade agreements in services vs. goods
by Matthew T. Cole & Amélie Guillin - 83-94 Revisiting the Fisher parity consistency for the Swiss economy around the modification of the National Bank?s monetary policy strategy
by David Neto - 95-115 Banking union: Mind the gaps
by Adrien Béranger & Laurence Scialom - 116-142 Estimating household responses to trade reforms: Net consumers and net producers in rural Mexico
by Guido G. Porto
2015, Issue 143
- 1-22 Euro area structural convergence? A multi-criterion cluster analysis
by Delphine Irac & Jimmy Lopez - 23-35 Does financial openness explain the increase of global imbalances before the crisis of 2008?
by Jamel Saadaoui - 36-47 Trade spillovers on output growth during the 2008 financial crisis
by Jean-Sébastien Pentecôte & Fabien Rondeau - 48-69 Transmission of real exchange rate changes to the manufacturing sector: The role of financial access
by Anubha Dhasmana - 70-79 A simple model of the juggernaut effect of trade liberalisation
by Richard Baldwin & Frédéric Robert-Nicoud - 80-97 Capital inflows, exchange rate regimes and credit dynamics in emerging market economies
by Robin Boudias
2015, Issue 142
- 1-3 Economics of global interactions: Introduction to the special issue
by Nicola D. Coniglio & Hubert Jayet - 4-14 Welfare implications of free trade agreements under Bertrand and Cournot competition with product differentiation
by Yasushi Kawabata & Yasuhiro Takarada - 15-31 International integration with heterogeneous immigration policies
by Nicola D. Coniglio & Kenji Kondoh - 32-49 Competitiveness-shifting effects and the prisoner?s dilemma in international R&D subsidy wars
by Armando J. Garcia Pires - 50-59 Service costs and economic welfare
by Hiroshi Kurata - 60-80 Do firm–bank relationships affect firms’ internationalization?
by Riccardo De Bonis & Giovanni Ferri & Zeno Rotondi - 81-93 Is labor flexibility a substitute to offshoring? Evidence from Italian manufacturing
by Andrea F. Presbitero & Matteo G. Richiardi & Alessia A. Amighini - 94-117 Multinationals in Sub-Saharan Africa: Domestic linkages and institutional distance
by L. Pérez-Villar & A. Seric - 118-135 Remittances and incentive to migrate: An epidemic approach of migration
by Claire Naiditch & Agnes Tomini & Christian Ben Lakhdar - 136-151 Wage expectations of illegal immigrants: The role of networks and previous migration experience
by Rezart Hoxhaj - 152-160 Illegal trade in natural resources: Evidence from missing exports
by Pierre-Louis Vézina
2015, Issue 141
- 1-14 Capital flows and asset prices: Empirical evidence from emerging and developing economies
by Hiroyuki Taguchi & Pravakar Sahoo & Geethanjali Nataraj - 15-33 Interest burden and external finance choices in emerging markets: Firm-level data evidence from Malaysia
by Muhamed Zulkhibri - 34-49 On the use of singular spectrum analysis for forecasting U.S. trade before, during and after the 2008 recession
by Emmanuel Sirimal Silva & Hossein Hassani - 50-79 Fiscal austerity, growth prospects, and sovereign CDS spreads: The Eurozone and beyond
by Chunming Yuan & Tanu J. Pongsiri - 80-96 The “mother of all puzzles” at thirty: A meta-analysis
by Christophe Tavéra & Jean-Christophe Poutineau & Jean-Sébastien Pentecôte & Isabelle Cadoret & Arthur Charpentier - 97-114 Dissecting the brains of central bankers: The case of the ECB’s Governing Council members on reforms
by Hamza Bennani - 115-134 Heterogeneous monetary transmission process in the Eurozone: Does banking competition matter?
by Aurélien Leroy & Yannick Lucotte - 135-151 What determines the extent of real exchange rate misalignment in developing countries?
by Ridha Nouira & Khalid Sekkat
2014, Issue 140
- 1-18 Credit constraints and firm imports of capital goods: Evidence from middle- and low-income countries
by Dario Fauceglia - 19-35 Financial Constraints and Export Participation in India
by Priya Nagaraj - 36-48 Modelling the oil price –exchange rate nexus for South Africa
by Babajide Fowowe - 49-70 Assessment of the global financial crisis effects on energy consumption and economic growth in Malaysia: An input–output analysis
by Hussain Ali Bekhet & Tahira Yasmin - 71-88 Greenhouse gases mitigation potential and economic efficiency of phasing-out fossil fuel subsidies
by Jean-Marc Burniaux & Jean Chateau - 89-106 Structural breaks and the time-varying levels of weak-form efficiency in crude oil markets: Evidence from the Hurst exponent and Shannon entropy methods
by Walid Mensi & Makram Beljid & Shunsuke Managi
2014, Issue 139
- 1-18 Competitiveness and growth within the CFA franc zone: Does the switch to the Euro matter?
by Issiaka Coulibaly - 19-47 Gender inequality and emigration: Push factor or selection process?
by Thierry Baudassé & Rémi Bazillier - 48-70 New revealed comparative advantage index: Dataset and empirical distribution
by Elsa Leromain & Gianluca Orefice - 71-79 Stock dividend ex-day effect and market microstructure in a unique environment
by Khamis Hamed Al-Yahyaee - 80-108 Corruption, capital account liberalization, and economic growth: Theory and evidence
by Takuma Kunieda & Keisuke Okada & Akihisa Shibata - 109-132 Business cycle, market power and bank behaviour in emerging countries
by Zied Saadaoui - 133-151 On the inclusion of the Chinese renminbi in the SDR basket
by Agnès Bénassy-Quéré & Damien Capelle - 152-173 Credit constraints, firm ownership and the structure of exports in China
by Joachim Jarreau & Sandra Poncet - 174-181 The impossible trinity and Krugman?s balance of payments crisis model
by Partha Sen
2014, Issue 138
- 1-27 Where is the system?
by Sylvain Benoit - 28-48 The emergence of new entrepreneurs in Europe
by Emilio Congregado & José María Millán & Concepción Román - 49-62 From mutual insurance to fiscal federalism: Rebuilding the Economic and Monetary Union after the demise of the Maastricht architecture
by Shahin Vallée - 63-77 Exchange rate pass-through to import prices in the Euro-area: A multi-currency investigation
by Olivier de Bandt & Tovonony Razafindrabe - 78-102 Monetary policy and the Dutch disease effect in an oil exporting economy
by Mohamed Tahar Benkhodja
2014, Issue 137
- 1-21 Real exchange rate and competitiveness of an EU's ultra-peripheral region: La Reunion Island
by Fabien Candau & Michaël Goujon & Jean-François Hoarau & Serge Rey - 22-31 The determinants of regional stock market integration in middle east: A conditional ICAPM approach
by Khaled Guesmi & Frédéric Teulon - 32-51 Solvency vs. liquidity. A decomposition of European banks' credit risk over the business cycle
by Guillaume Vuillemey - 52-72 Energy prices and the real exchange rate of commodity-exporting countries
by Magali Dauvin - 73-87 Conventional and Islamic stock price performance: An empirical investigation
by Fredj Jawadi & Nabila Jawadi & Waël Louhichi - 88-103 Predicting exchange rates using a novel “cointegration based neuro-fuzzy system”
by Behrooz Gharleghi & Abu Hassan Shaari & Najla Shafighi
2013, Issue 135-136
- 1-12 Economic policy, tourism trade and productive diversification
by Iza Lejárraga & Peter Walkenhorst - 13-28 Trade linkages and growth in Latin America: An SVAR analysis
by Miguel Ángel Saldarriaga & Diego Winkelried - 29-46 Asymmetric effects of exchange rate variations: An empirical analysis for four advanced countries
by Hayet Jihene Elbejaoui - 47-61 Exchange rates, international trade and trade policies
by Alessandro Nicita - 62-78 Banking soundness and financial crises' predictability: a case study of Turkey
by Wajih Khallouli & Mahmoud Sami Nab - 79-103 Economic and employment impacts of climate change mitigation policies in OECD: a general-equilibrium perspective
by Jean Chateau & Anne Saint-Martin
2013, Issue 134
- 1-14 Consumer confidence as a predictor of consumption spending: Evidence for the United States and the Euro area
by Stephane Dees & Pedro Soares Brinca - 15-28 Market effects of information requirements under the Biosafety Protocol
by Antoine Bouët & Guillaume Gruère & Laëtitia Leroy - 29-55 Green growth: From intention to implementation
by Pierre-André Jouvet & Christian de Perthuis - 56-77 Monetary policy and capital regulation in the US and Europe
by Ethan Cohen-Cole & Jonathan Morse - 78-96 Impact of trade reforms in Tunisia on the elasticity of labour demand
by Rim Ben Ayed Mouelhi & Monia Ghazali
2013, Issue 133
- 1-7 Introduction: Recent international macroeconomic and financial issues
by Jean-Pierre Allegret & Cécile Couharde & Valérie Mignon - 8-28 Currency undervaluation and growth: Is there a productivity channel?
by Samba Mbaye - 29-49 Financial versus demand shocks in stock price returns of U.S. non-financial firms in the crisis of 2007
by Varvara Isyuk - 50-71 Does modern banking lead to money privatization?
by Thomas Grjebine - 72-92 Coping with the recent financial crisis: Did inflation targeting make any difference?
by Armand Fouejieu A. - 93-106 Forecasting value-at-risk using time varying copulas and EVT return distributions
by Theo Berger
2012, Issue 132
- 5-33 The Composition and Cyclical Behavior of Trade Flows in Emerging Economies
by Reinout De Bock - 35-89 The Impact of External Shocks in East Asia: Lessons from a Structural VAR Model with Block Exogeneity
by Jean-Pierre Allegret & Cécile Couharde & Cyriac Guillaumin - 91-116 Effects of Loan Loss Provisions on Growth in Bank Lending: Some International Comparisons
by Vincent Bouvatier & Laetitia Lepetit - 117-139 Foreign Ownership and Firm Survival: First Evidence for Enterprises in Germany
by Joachim Wagner & John Philipp Weche Gelübcke - 141-158 Tax Reform and Coordination in a Currency Union
by Benjamin Carton
2012, Issue 131
- 5-21 The Task Composition of Offshoring by U.S. Multinationals
by Lindsay Oldenski