Content
2022, Volume 68, Issue 3
- 149-159 Finding the Right Inflation Target
by Deergha Raj Adhikari - 161-190 Did the COVID-19 Pandemic Impact Income Mobility and Income Distribution?
by Caterina Astarita & Cinzia Alcidi - 191-230 Chairperson Effects in Monetary Policy Shock Identification
by Dan Groft
2022, Volume 68, Issue 2
- 79-93 Digital Payment and Economic Growth: Evidence from India
by Abdul Azeez N. P. & Mohammad Imdadul Haque & S. M. Jawed Akhtar - 95-124 The Changing Landscape of India’s Regional Trade Agreements: Realities and Prospects
by Leena Ajit Kaushal - 125-148 Export Intensity, Learning, and Performance: A Multidimensional Model for Export Strategy
by Areej Aftab Siddiqui & Kashika Arora
2022, Volume 68, Issue 1
- 1-36 Exchange Rate Pass-Through, Inflation, and Monetary Policy in Egypt
by Athar Elnagger & Christian Richter - 37-51 Social and Solidarity Economy in Morocco: Cooperatives’ Behavior and Growth
by Najat El Mekkaoui & Sara Loukili - 53-78 Do Fiscal Regimes Matter for Fiscal Sustainability in South Africa? A Markov-Switching Approach
by Gabriel Temesgen Woldu
2021, Volume 67, Issue 4
- 287-309 Whose Policy Uncertainty Matters in the Trade between Germany and the United States: An Asymmetric Analysis
by Mohsen Bahmani-Oskooee & Ridha Nouira & Sami Saafi - 311-335 Designing GDP-Linked Bonds with Default
by John Leventides & Evangelos Melas & Costas Poulios & Paraskevi Boufounou & Rena Artemis Leventides - 337-351 Industrial Output Growth Forecast: A Machine Learning Approach Based on Cross-Validation
by Jeronymo Marcondes Pinto & Emerson Fernandes Marçal
2021, Volume 67, Issue 3
- 199-223 The Role of Independent Fiscal Institutions in Assessing the Sustainability of High Public Debt
by Esther Gordo & Eddie Casey & Inna Oliinyk & Willem-Pieter de Groen & José Miguel Ramos Carrasco & James Jolovski - 225-256 The Role of Air Pollution and Income in Public Health in OECD Countries
by Carla Massidda - 257-286 How to Strengthen Fiscal Surveillance Towards a Medium-Term Focus?
by Lucía Rodríguez & Roland Uittenbogaard & José Miguel Ramos Carrasco & Elena Segarra & Inna Oliinyk & Willem Pieter de Groen
2021, Volume 67, Issue 2
- 113-141 Pandemic Versus Financial Shocks: Comparison of Two Episodes on the Bitcoin Market
by Florian Horky & Mihai Mutascu & Jarko Fidrmuc - 143-175 Labor Demand, Qualifications, and Family Management: Analyzing Labor Demand of German Family-Managed Firms with Panel Data
by Arnd Kölling - 177-198 Do Portfolio Diversification Benefits Exist? A Study of Selected Developed and Emerging Markets
by Ritesh Patel
2021, Volume 67, Issue 1
- 1-25 Exchange Rate Volatility and Domestic Consumption in the G7: An Asymmetric Analysis
by Mohsen Bahmani-Oskooee & Jungho Baek - 27-45 Loan Maturity Structure and the Actualization of Production
by Jamil Chaya1 - 47-70 Estimating the Impact of Free Trade Agreements on India’s Export Potential
by Leena Ajit Kaushal1 - 71-111 Revisiting the EKC Hypothesis on the Moderating Role of Human Capital Formation in the Economic Growth-Environment Nexus
by Mirza Md Moyen Uddin & Taimur Sharif & Rekha Pillai
2020, Volume 66, Issue 4
- 239-257 A Simple Economic Model to Explain Different Digitization Patterns
by Florian W. Bartholomae - 259-290 The EMU-REER Spillovers on Southeastern European Economies: A G-VAR Model
by Petros Golitsis & Sotirios K. Bellos & Anastasios Alexandridis - 291-318 Capital-Flow Volatility and Economic Openness: A Wavelet Approach
by Mihai Mutascu & Scott W. Hegerty - 319-328 How Large Are Firing Costs? A Cross-Country Study
by Dennis Wesselbaum
2020, Volume 66, Issue 3
- 179-207 Financial Development and Its Effect on Inequality: A Case of Fair Profit Maximization, Favoritism, or Discrimination?
by Yaron Zelekha & Michal Weber - 209-222 What Happened to Polarization and Inequality Between 2008 and 2018 in Spain?
by Rosa María García-Fernández & Candela Ruiz Tobar - 223-237 Does Government Size Explain Unemployment in MENA Countries?
by Mufeed Almula-Dhanoon & Marwan Dhannoon & Mustafa Hammadi
2020, Volume 66, Issue 2
- 93-129 Turkish-German Commodity Trade and Asymmetric J-Curve
by Mohsen Bahmani-Oskooee & Huseyin Karamelikli - 131-144 Impact of Governance on FDI: Evidence from Dynamic Panel Regression Models
by Fabian Reck - 145-164 On the Uncertainty Caused by the Referendum on Brexit
by Christian Richter & Shampa Roy-Mukherjee - 165-178 Determinants of Microfinance Outreach in India: Empirical Evidence
by Sivagandhi Saravanan & K. R. Shanmugam
2020, Volume 66, Issue 1
- 1-27 Price Bargaining and the Business Cycle
by Dennis Wesselbaum - 29-45 Does Informality Hold the Key to Growth and Stability?
by Meghna Dutta - 47-64 Are Member States’ Budgetary Policies Adhering to the EU Fiscal Rules?
by David Cronin - 65-92 A Review of Wagner’s Law with Disaggregated Data for Spain
by Manuel Jaén-Garcia
2019, Volume 65, Issue 4
- 247-256 The Association Between Bank Credit Terms and Conditions and the Business Cycle in the Euro Area
by Dimitrios Anastasiou & Konstantinos Drakos - 257-275 Revisiting Equity Premium Puzzles in a Data-Rich Environment
by Mohamed Douch & Mohammed Bouaddi - 277-297 Banking Crisis Prediction with Differenced Relative Credit
by Karlo Kauko & Eero Tölö - 299-326 Financial Literacy Among German Students at Secondary Schools: Some Empirical Evidence from the State of Hesse
by Volker Brühl
2019, Volume 65, Issue 3
- 139-187 Military Expenditure, Economic Growth and Development in Transition Economies: A Panel VAR GMM Approach
by Sotirios K. Bellos - 189-208 Analyzing Resilience in Local Labor Market Areas: A Spatial Analysis for the Case of Italy
by Barbara Martini & Marco Platania - 209-235 Trends and Cycles in U.S. Labor-Market Slack, 1994–2019
by John Komlos - 237-246 Does Firm Size Matter? The Impact of Homeownership on Business Start-up in Italy
by Gaetano Lisi
2019, Volume 65, Issue 2
- 87-100 Do Globalization and Institutional Reforms Matter for Financial Structure in Selected Asian Countries? A Panel Data Approach
by Madhu Sehrawat & A. K. Giri - 101-113 Economic Policy Uncertainty and Household Financial Assets
by Hassan F. Gholipour & Mary Elizabeth Dunkley - 115-137 Cross-Sectional Relationship Between Beta and Realized Returns in Emerging Markets
by Mohammad A. Khataybeh & Mohamad Abdulaziz & Zyad Marashdeh
2019, Volume 65, Issue 1
- 1-43 Natural Resources, Energy Dependency, and their Association with Institutional and Growth-Related Variables in the Black Sea and Southeastern European Region
by Sotirios K. Bellos - 45-69 Determinants of Value Creation in Oil and Gas Firms: A Firm-Specific Comparative Study Using Panel Data
by B. Rajesh Kumar & K. S. Sujit - 71-86 Economic Sustainability of the MENA Region
by Osama D. Sweidan
2018, Volume 64, Issue 4
- 279-295 Policy Uncertainty and the Demand for Money in Canada: A Nonlinear Approach
by Mohsen Bahmani-Oskooee & Majid Maki Nayeri - 297-323 Inequality, Redistribution, and Growth in Developed Countries
by Andrea Festa - 325-350 Can Social Interaction Based Expectations Create the Characteristics of the Business Cycle?
by Timo Pascal Kaiser - 351-369 You Don’t Need to Win, Just Don’t Lose: The Effect of Draw Outcomes on Soccer Coach Dismissals
by Guy Elaad & Artyom Jelnov & Jeffrey Kantor
2018, Volume 64, Issue 3
- 179-198 Wagner’s Law, Public Employment, and Spanish Regions
by Manuel Jaén-García - 199-238 A Case for Boring Banking and Re-Intermediation
by Karl-Peter Schackmann-Fallis & Horst Gischer & Mirko Weiß - 239-252 Inclusion of Asset Prices: An Argument for Monetary Policy and the Phillips Curve
by Alexander Mislin - 253-277 Estimating the Basel III Capital Requirement for Indian Banks
by Vighneswara Swamy
2018, Volume 64, Issue 2
- 115-126 The Dynamic Linkages Between Energy, Biofuels and Agricultural Commodities’ Prices
by Constantinos Katrakilidis & Kalomoira Kourti & Athanasios Athanasenas - 127-135 Are There Significant Externality Effects of Remittances in Asian Economic Growth?
by Gazi M. Hassan & Shamim Shakur - 137-157 A New Approach to Identifying Exchange Rate Regimes
by Gerald Fugger - 159-177 Short-Selling Bans and the Global Financial Crisis: Are They Interconnected?
by Martin T. Bohl & Badye Essid & Pierre L. Siklos
2018, Volume 64, Issue 1
- 1-3 Introduction to the Special Issue on Applied Macroeconomics, Finance, and Banking
by Stilianos Fountas - 5-16 Are Bank Credit Standards Affected by the Business Cycle? Evidence from the Euro Area
by Dimitrios Anastasiou & Konstantinos Drakos & Stylianos Giannoulakis - 17-37 Testing for Inflation Convergence Among European Union Countries: A Panel Approach
by Maria Tsafa-Karakatsanidou & Stilianos Fountas - 39-57 Global Crises and Contagion: Does the Capitalization Size Matter?
by Dimitris Kenourgios & Dimitrios Dimitriou & Aristeidis Samitas - 59-98 Tax Elasticities and the Macroeconomic Effects of Fiscal Policy in Greece
by Andreas Zervas - 99-114 The Relationship Between Greek Exports and Foreign Income
by Konstantinos Chisiridis & Theodore Panagiotidis
2017, Volume 63, Issue 4
- 341-368 The Effect of Trade Liberalization of Bosnia and Herzegovina with the Leading Trade Partners
by Safet Kurtovic & Blerim Halili & Nehat Maxhuni - 369-389 Bilateral Export and Import Determinants and Potential of Pakistan: A Gravity Model Approach
by Kashif Munir & Maryam Sultan - 391-427 Impact of Economic Growth on Income Distribution: Are the Effects Asymmetric?
by Mohsen Bahmani-Oskooee & Amid Motavallizadeh-Ardakani - 429-454 Absolute versus Relative Income and Their Effect on Depression and Chronic Anxiety
by Orly Zelekha & Yaron Zelekha
2017, Volume 63, Issue 3
- 233-257 Monetary Transmission: Testing the Post-Keynesian View After the Great Recession
by Osama D. Sweidan - 259-274 Less Pain at the Pump? The Effects of Regulatory Interventions in Retail Gasoline Markets
by Ralf Dewenter & Ulrich Heimeshoff & Hendrik Lüth - 275-294 Does Unrestricted Public School Choice Increase Racial Segregation? Evidence from a Natural Experiment in New Orleans
by Ali Enami - 295-317 The Fourier Quantile Unit Root Test with an Application to the PPP Hypothesis in the OECD
by Mohsen Bahmani-Oskooee & Tsangyao Chang & Omid Ranjbar - 319-340 Panel Data Analysis of the Impact of Larger State Size/Land Area on Voter Turnout in US Presidential Elections: 2000, 2004, 2008, and 2012
by Richard J. Cebula
2017, Volume 63, Issue 2
- 137-159 Trade Dynamics, Trade Costs and Market Size: First Evidence from the Exporter and Importer Dynamics Database for Germany
by Joachim Wagner - 161-176 The Impact of the 2007-2008 Financial Crisis on the Banking Systems in Advanced European Countries
by Kamila Tomczak - 177-210 Tax Complexity and Corruption
by Yaron Zelekha - 211-231 Trade-Off Between CO2 Emissions and Income: Is There any Evidence of an Environmental Kuznets Curve in Australia?
by Md Shahiduzzaman & Khorshed Alam
2017, Volume 63, Issue 1
- 1-47 Financial Market Integration and the Mobility of Capital: Evidence from the OECD Countries
by Tarlok Singh - 49-80 Underinvestment and Unemployment: The Double Hazard in the Euro Area
by Nicos Christodoulakis & Christos Axioglou - 81-96 Effects of Trade Wars on Belarus
by Aleksandr Vashchilko - 97-135 Determinants of Bank Asset Quality and Profitability: An Empirical Assessment
by Vighneswara Swamy
2016, Volume 62, Issue 4
- 267-268 AEQ Special Issue: What are the Lessons from the Financial Crisis in the Eurozone?
by Christian Richter & Socrates Karidis - 269-296 The Welfare State and Economic Performance: Quantiles and Nonlinearities
by Adelaide Duarte & Marta Simões & João Sousa Andrade - 297-320 Fiscal Vulnerability Sources: Empirical Evidence for the European Union
by Andreea Stoian & Laura Obreja Braşoveanu & Bogdan Dumitrescu & Iulian Braşoveanu - 321-341 “Voting with their Feet” in Times of Crisis: The Case of Southern Europe
by Christos Kallandranis & Socrates Karidis - 343-361 An Econometric Analysis of the Twin Deficits Hypothesis in Greece During the Period 1960-2014
by Dimitrios Paparas & Christian Richter & Hairong Mu
2016, Volume 62, Issue 3
- 169-186 Asset Prices and Consumer Prices: Exploring the Linkages
by Dieter Gerdesmeier & Hans-Eggert Reimers & Barbara Roffia - 187-204 Limits of Monetary Policy Autonomy of East Asian Central Banks
by Axel Löffler & Gunther Schnabl & Franziska Schobert - 205-230 The State as a Financial Intermediary to Foster Long-Term Investments
by Hans-Peter Burghof & Carola Müller - 231-265 The Value of a Joint Liability Scheme: Estimating Group Support for German Landesbanken
by Benjamin Käfer
2016, Volume 62, Issue 2
- 85-105 Constructing a Composite Leading Indicator of Economic Activity in Greece
by Ekaterini Tsouma - 107-115 The Determinants of Exports Revisited: Lessons from the Recent Crisis
by George Agiomirgianakis & Theodore Papadogonas & George Sfakianakis - 117-146 The Role of Push and Pull Factors in Driving Global Capital Flows
by Hardik A. Marfatia - 147-168 Do Colonialism and Slave Trade Still Affect Modern Economic Performance?
by Yaron Zelekha
2016, Volume 62, Issue 1
- 1-35 Financial Harmonization and Financial Development: An Application of Europe’s Financial Services Action Plan
by Zeynep Ozkok - 37-49 Policy Uncertainty and the Demand for Money in the United States
by Mohsen Bahmani-Oskooee & Alice Kones & Ali Kutan - 51-67 Reverse Technology Spillover Effects of Outward FDI to P.R. China: A Threshold Regression Analysis
by Jingwen Xia & Jaime Ortiz & Haibo Wang - 69-84 Remittances and Real Investment in Jordan: Is There a Link? An Empirical Investigation
by Ghazi Al-Assaf & Alaaeddin Al-Tarawneh
2015, Volume 61, Issue 4
- 315-329 The Quantity Theory of Money: Valid Only for High and Medium Inflation?
by Claude Hillinger & Bernd Süssmuth & Marco Sunder - 331-352 Gold in the South African Market: A Safe Haven or Hedge?
by Yudhvir Seetharam & Lauren Bodington - 353-371 The Effects of Exchange Rate Volatility on U.S.-Chilean Industry Trade Flows
by Mohsen Bahmani-Oskooee & Hanafiah Harvey & Scott W. Hegerty - 373-390 Europe’s Cash Restrictions: A Recipe for Home-Made Economic Instability
by Edoardo Beretta - 391-404 Do Swedish Consumer Confidence Indicators Do What They Are Intended to Do?
by Bengt Assarsson & Pär Österholm
2015, Volume 61, Issue 3
- 199-227 Simple Analytics of the Dynamic Laffer Curve Under Alternative Financing Schemes
by Yoichi Tsuchiya - 229-260 Analyzing BRIC Competitiveness in the EU-14, Japan, US and Norway
by Thannaletchimy Thanagopal - 261-292 Explaining the Determinants of the Frequency of Exchange Rate Interventions in Peru Using Count Models
by Edgar Ventura Neyra & Gabriel Rodríguez
2015, Volume 61, Issue 2
- 115-139 Are There Business Cycles “beyond GDP”? Alternative Measures to GDP at Business Cycle Frequencies
by Jörg Döpke & Philip Maschke - 141-153 Panel Causality and Cointegration between Productivity and Unemployment
by João Tovar Jalles - 155-174 Developing Countries and Economies in Transition: The Nexus between Economic Growth and Income Inequality
by Fadi A. Fawaz & Masha Rahnama & Victor J. Valcarcel - 175-198 How Integrated are the Local U.S. Markets for Natural Gas? — New Evidence Using Rolling Cointegration
by Tim Böker & Albrecht F. Michler
2015, Volume 61, Issue 1
- 1-23 Tax Wedge and Productivity: Empirical Evidence at the Firm Level
by Andrea Festa - 25-64 Identifying and Tracking Global, EU, and Eurozone Systemically Important Banks with Public Data
by Sergio Masciantonio - 65-92 Should Governments Subsidize Agricultural Insurances?
by Gábor Regős - 93-113 The Spatial Dimension of FDI in the MENA Countries
by Oumama Bouabdi
2014, Volume 60, Issue 4
- 253-272 Exports, Foreign Direct Investment, and Economic Growth for Five European Countries: Granger Causality Tests in Panel Data
by Nikolaos Dritsakis & Pavlos Stamatiou - 273-291 The Impact of an Exchange Rate Realignment on the Italian Trade Balance: Euro vs. National Currency
by Alberto Bagnai & Christian Alexander Mongeau Ospina - 293-313 Economic Uncertainty, Monetary Uncertainty, and the Demand for Money in Africa
by Mohsen Bahmani-Oskooee & Alice Kones - 315-336 On the Usefulness of Constant Gain Least Squares when Forecasting the Unemployment Rate
by Jan-Erik Antipin & Farid Jimmy Boumediene & Pär Österholm
2014, Volume 60, Issue 3
- 145-157 Coalition Statements and the Distribution of Power in German Government Coalitions: 1990-2009
by Tobias Hiller - 159-177 Staggered Wages, Sticky Prices, and Labor Market Dynamics in Matching Models
by Janett Neugebauer & Dennis Wesselbaum - 179-214 Restarting Growth in Europe
by Karl Aiginger & Christian Glocker - 215-251 Are Devaluations Expansionary or Contractionary in Transition Economies?
by Salah A. Nusair
2014, Volume 60, Issue 2
- 91-106 Banking and Public Finance as a European Challenge
by Hannes Rehm - 107-113 Eurozone: Promoting Risk-Sharing Through Cross-Border Ownership of Equity Capital
by Olivier Garnier - 115-121 Do We Need More Financial Integration?
by Karl-Peter Schackmann-Fallis - 123-143 ECB: Credibility at Risk?
by Christoph S. Weber
2014, Volume 60, Issue 1
- 1-22 The Australian Agricultural and Resources Sectors under the Carbon Tax: A CGE Perspective
by Xianming Meng - 23-40 Impact of Federal Government Budget Deficits on the Longer Term Real Interest Rate in the U.S.: Evidence Using Annual and Quarterly Data, 1960-2013
by Richard J. Cebula - 41-74 Exchange Market Pressure and Stock-Price Spillovers in Emerging Markets
by Scott W. Hegerty - 75-90 Rebalancing Europe: Mission Half Accomplished, at Best
by Martin Lück