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Content
2017, Volume 41, Issue 2
2017, Volume 41, Issue 1
- 5-25 Boards of directors in Russian publicly traded companies in 1998–2014: Structure, dynamics and performance effects
by Muravyev, Alexander
- 26-40 Incentives to innovate in response to competition: The role of agency costs
by Bessonova, Evguenia & Gonchar, Ksenia
- 41-51 The impact of financial and human resources on the export performance of Russian firms
by Kadochnikov, Sergey M. & Fedyunina, Anna A.
- 52-67 ‘Sweet deals’: State-owned enterprises, corruption and repeated contracts in public procurement
by Tkachenko, Andrey & Yakovlev, Andrei & Kuznetsova, Aleksandra
- 68-85 Political institutions behind good governance
by Bartolini, David & Santolini, Raffaella
- 86-97 Consumer cooperatives as an alternative form of governance: The case of the broadband industry
by Sadowski, Bert M.
- 98-108 The time-varying correlation between output and prices in the United States over the period 1800–2014
by Antonakakis, Nikolaos & Gupta, Rangan & Tiwari, Aviral K.
- 109-121 Why is it a man’s world, after all? Women on bank boards in India
by Ghosh, Saibal
- 122-138 Banking efficiency in South East Europe: Evidence for financial crises and the gap between new EU members and candidate countries
by Nurboja, Bashkim & Košak, Marko
- 139-150 The Feldstein-Horioka puzzle and capital mobility: The role of the recent financial crisis
by But, Boris & Morley, Bruce
- 151-162 Press freedom and jumps in stock prices
by Abed Masrorkhah, Sara & Lehnert, Thorsten
2016, Volume 40, Issue 4
- 519-538 The institutional basis of efficiency in resource-rich countries
by Hartwell, Christopher A.
- 539-551 Institutional quality, banking marketization, and bank stability: Evidence from China
by Hou, Xiaohui & Wang, Qing
- 552-567 Do sovereign rating announcements have an impact on regional stock market co-movements? The case of Central and Eastern Europe
by Sensoy, Ahmet & Eraslan, Veysel & Erturk, Mutahhar
- 568-581 Trade and fiscal imbalances in Southeastern Europe: Can fiscal devaluation help?
by Vukšić, Goran & Holzner, Mario
- 582-594 Globalization and the environmental impact of sectoral FDI
by Doytch, Nadia & Uctum, Merih
- 595-611 Credit cycle and balancing the capital gap: Evidence from Korea
by Song, Joonhyuk & Ryu, Doojin
- 612-621 Macroeconomic uncertainty, foreign direct investment and institutional quality: Evidence from Sub-Saharan Africa
by Asamoah, Michael Effah & Adjasi, Charles K.D. & Alhassan, Abdul Latif
- 622-630 Impacts of implied volatility on stock price realized jumps
by Huang, Alex YiHou
- 631-637 On the output and welfare effects of a non-profit firm in a mixed duopoly: A generalization
by Flores, Daniel & García, Arturo
- 638-657 Inflation, inflation uncertainty, and economic growth in emerging and developing countries: Panel data evidence
by Baharumshah, Ahmad Zubaidi & Slesman, Ly & Wohar, Mark E.
- 658-669 The collateral effects of political integration on credit growth in the new member states of the EU
by Hoffmann, Andreas
- 670-682 Interest rates, the yield curve and bank profitability in an emerging market economy
by Aydemir, Resul & Ovenc, Gokhan
- 683-698 Gender equality in Muslim-majority countries
by Gouda, Moamen & Potrafke, Niklas
2016, Volume 40, Issue 3
- 335-344 The impact of knowledge spillovers on total factor productivity revisited: New evidence from selected European capital regions
by Puškárová, Paula & Piribauer, Philipp
- 345-354 Unravelling the asymmetric volatility puzzle: A novel explanation of volatility through anchoring
by Ormos, Mihály & Timotity, Dusan
- 355-372 Determinants of loan interest rates in a country with a currency board: Evidence from Bulgaria
by Mihaylov, Mihail
- 373-386 The competitiveness of Latin-American economies: Consolidation of the double diamond theory
by Castro-Gonzáles, Segundo & Peña-Vinces, Jesús C. & Guillen, Jorge
- 387-397 Bayesian combination for inflation forecasts: The effects of a prior based on central banks’ estimates
by Melo, Luis F. & Loaiza, Rubén A. & Villamizar-Villegas, Mauricio
- 398-421 Bank risk and performance in the MENA region: The importance of capital requirements
by Bitar, Mohammad & Saad, Wadad & Benlemlih, Mohammed
- 422-432 The effect of agglomeration on the productivity of urban manufacturing sectors in a leading emerging economy
by Azari, Mehdi & Kim, Hakkon & Kim, Jun Yeup & Ryu, Doojin
- 433-443 Exchange rates and firm survival: An examination with Turkish firm-level data
by Toraganlı, Nazlı & Yazgan, M. Ege
- 444-452 Mind the gap: Computing finance-neutral output gaps in Latin-American economies
by Amador-Torres, Juan S. & Gomez-Gonzalez, Jose Eduardo & Ojeda-Joya, Jair N. & Jaulin-Mendez, Oscar F. & Tenjo-Galarza, Fernando
- 453-460 Purchasing power parity in emerging markets: A panel stationary test with both sharp and smooth breaks
by Bahmani-Oskooee, Mohsen & Chang, Tsangyao & Lee, Kuei-Chiu
- 461-480 Nonlinear monetary policy and macroeconomic stabilization in emerging market economies: Evidence from China
by Ma, Yong
- 481-498 A coin has two sides: Which one is driving China’s green TFP growth?
by Liu, Guangtian & Wang, Bing & Zhang, Ning
- 499-518 The simultaneous estimation of credit growth, valuation, and stability of the Gulf Cooperation Council banking industry
by Al-Khouri, Ritab & Arouri, Houda
2016, Volume 40, Issue 2
- 198-205 How did trade norms evolve in Scandinavia? Long-distance trade and social trust in the Viking age
by Svendsen, Gunnar Lind Haase & Svendsen, Gert Tinggaard
- 206-219 Accumulated social capital, institutional quality, and economic performance: Evidence from China
by Dong, Zhiqiang & Zhang, Yongjing
- 220-231 Fuelling political fiscal cycles by opportunistic privatization in transition economies: The case of Albania
by Lami, Endrit & Imami, Drini & Kächelein, Holger
- 232-246 Does government ideology influence environmental performance? Evidence based on a new dataset
by Wen, Jun & Hao, Yu & Feng, Gen-Fu & Chang, Chun-Ping
- 247-259 Shutdown versus M&A: An empirical investigation of Slovenian incumbent firms’ responses to foreign competition
by Zajc Kejžar, Katja
- 260-272 Understanding the link between aid and corruption: A causality analysis
by Menard, Audrey-Rose & Weill, Laurent
- 273-287 The link between trade openness, export diversification, institutions and output volatility in transition countries
by Balavac, Merima & Pugh, Geoff
- 288-307 FDI, human capital and income convergence—Evidence for European regions
by Völlmecke, Dominik & Jindra, Björn & Marek, Philipp
- 308-322 Regulation, trade and economic growth
by Silberberger, Magdalene & Königer, Jens
- 323-334 Testing financial markets convergence in Central and Eastern Europe: A non-linear single factor model
by Niţoi, Mihai & Pochea, Maria Miruna
2016, Volume 40, Issue 1
- 4-17 Aging and income convergence in Europe: A survey of the literature and insights from a demographic projection exercise
by Crespo Cuaresma, Jesus & Loichinger, Elke & Vincelette, Gallina A.
- 18-38 Courts in a transition economy: Case disposition and the quantity–quality tradeoff in Bulgaria
by Dimitrova-Grajzl, Valentina & Grajzl, Peter & Slavov, Atanas & Zajc, Katarina
- 39-58 Financial intermediation and economic growth: Does income matter?
by Seven, Ünal & Yetkiner, Hakan
- 59-63 A public firm in a vertically linked price discriminating spatial duopoly
by Beladi, Hamid & Chakrabarti, Avik & Hollas, Daniel
- 64-81 Asymmetric growth effect of capital flows: Evidence and quantitative theory
by Eng, Yoke-Kee & Wong, Chin-Yoong
- 82-92 Forecasting the South African inflation rate: On asymmetric loss and forecast rationality
by Pierdzioch, Christian & Reid, Monique B. & Gupta, Rangan
- 93-108 The resilience of oil-rich economies to the global financial crisis: Evidence from Kuwaiti financial and real sectors
by Mirzaei, Ali & Al-Khouri, Ritab Salem Farhan
- 109-119 The geographical spillover of armed conflict in Sub-Saharan Africa
by Carmignani, Fabrizio & Kler, Parvinder
- 120-134 Contagion in CDS, banking and equity markets
by Tabak, Benjamin M. & de Castro Miranda, Rodrigo & da Silva Medeiros, Maurício
- 135-144 Spatial determinants of U.S. FDI and exports in OECD countries
by Boubacar, Inoussa
- 145-169 Inflation targeting on output growth: A pulse dummy analysis of dynamic macroeconomic panel data
by de Guimarães e Souza, Gustavo José & de Mendonça, Helder Ferreira & de Andrade, Joaquim Pinto
- 170-194 Retail bank interest rate pass-through in the euro area: An empirical survey
by Andries, Natalia & Billon, Steve
2015, Volume 39, Issue 4
- 553-576 Systemic event prediction by an aggregate early warning system: An application to the Czech Republic
by Zigraiova, Diana & Jakubik, Petr
- 577-591 Assessing optimal credit growth for an emerging banking system
by Jakubik, Petr & Moinescu, Bogdan
- 592-607 The dynamic relationship between stock, bond and foreign exchange markets
by Kal, Süleyman Hilmi & Arslaner, Ferhat & Arslaner, Nuran
- 608-631 Knowledge externalities and demand pull: The European evidence
by Antonelli, Cristiano & Gehringer, Agnieszka
- 632-643 The transmission of foreign shocks to South Eastern European economies: A Bayesian VAR approach
by Petrevski, Goran & Exterkate, Peter & Tevdovski, Dragan & Bogoev, Jane
- 644-653 News on inflation and the epidemiology of inflation expectations in China
by Lei, Chengyao & Lu, Zhe & Zhang, Chengsi
- 654-674 Sources of asymmetric shocks: The exchange rate or other culprits?
by Skorepa, Michal & Komarek, Lubos
- 675-696 Macroeconomic shocks and fluctuations in African economies
by Rasaki, Mutiu Gbade & Malikane, Christopher
2015, Volume 39, Issue 3
- 369-389 Position limit for the CSI 300 stock index futures market
by Wei, Lijian & Zhang, Wei & Xiong, Xiong & Shi, Lei
- 390-412 Misvaluation comovement, market efficiency and the cross-section of stock returns: Evidence from China
by Luo, Yan & Ren, Jinjuan & Wang, Yizhi
- 413-422 Optimal rebalance rules for the constant proportion portfolio insurance strategy – Evidence from China
by Zhang, Tao & Zhou, Hongfeng & Li, Larry & Gu, Feng
- 423-438 Stock holdings over the life cycle: Who hesitates to join the market?
by Zhang, Linwan & Wu, Weixing & Wei, Ying & Pan, Rulu
- 439-457 Economic policy uncertainty and capital structure choice: Evidence from China
by Zhang, Guangli & Han, Jianlei & Pan, Zheyao & Huang, Haozhi
- 458-473 Investor heterogeneity and commonality in stock return and liquidity
by Pan, Deng & Shi, Jing & Wu, Fei & Zhang, Bohui
- 474-490 An analysis of dependence between Central and Eastern European stock markets
by Reboredo, Juan C. & Tiwari, Aviral Kumar & Albulescu, Claudiu Tiberiu
- 491-501 Nonprofit organizations, institutional economics, and systems thinking
by Valentinov, Vladislav & Hielscher, Stefan & Pies, Ingo
- 502-517 Bank competition, concentration and financial stability in the Turkish banking industry
by Kasman, Saadet & Kasman, Adnan
- 518-540 Consumer credit on American Indian reservations
by Dimitrova-Grajzl, Valentina & Grajzl, Peter & Guse, A. Joseph & Todd, Richard M.
- 541-551 Cost efficiency of the banking industry and unilateral euroisation: A stochastic frontier approach in Serbia and Montenegro
by Sokic, Alexandre
2015, Volume 39, Issue 2
- 197-224 The drivers of income mobility in Europe
by Aristei, David & Perugini, Cristiano
- 225-239 Empirical evidence of conditional asset pricing in the Indian stock market
by Das, Sudipta
- 240-252 Credit default swaps and sovereign debt markets
by Hassan, M. Kabir & Ngene, Geoffrey M. & Yu, Jung-Suk
- 253-268 Similarity of emerging market returns under changing market conditions: Markets in the ASEAN-4, Latin America, Middle East, and BRICs
by Lyócsa, Štefan & Baumöhl, Eduard
- 269-287 How useful is an Asian Currency Unit (ACU) index for surveillance in East Asia?
by Pontines, Victor
- 288-300 Are stock prices related to the political uncertainty index in OECD countries? Evidence from the bootstrap panel causality test
by Chang, Tsangyao & Chen, Wen-Yi & Gupta, Rangan & Nguyen, Duc Khuong
- 301-316 The impact of fiscal positions on government bond yields in CEE countries
by Malešević Perović, Lena
- 317-338 Taxation of natural resources and economic growth in Russia's regions
by Alexeev, Michael & Chernyavskiy, Andrey
- 339-357 Does revamping Japan's dual labor market matter?
by Aoyagi, Chie & Ganelli, Giovanni
- 358-366 PPP may hold better than you think: Smooth breaks and non-linear mean reversion in real effective exchange rates
by Kutan, Ali M. & Zhou, Su
2015, Volume 39, Issue 1
- 1-2 Symposium: Youth labour market and the “Great Recession”
by Signorelli, Marcello & Choudhry, Misbah Tanveer
- 3-26 The joint impact of labour policies and the “Great Recession” on unemployment in Europe
by Dal Bianco, Silvia & Bruno, Randolph L. & Signorelli, Marcello
- 27-42 Young people living as couples: How women's labour supply is adapting to the crisis. Spain as a case study
by Addabbo, Tindara & Rodríguez-Modroño, Paula & Gálvez-Muñoz, Lina
- 43-58 Youth labour market performances in the Russian and Italian regions
by Demidova, Olga & Marelli, Enrico & Signorelli, Marcello
- 59-71 Impact of the Great Recession on unemployed and NEET individuals’ labour market transitions in Ireland
by Kelly, Elish & McGuinness, Seamus
- 72-96 The effect of judicial independence on entrepreneurship in the US states
by Dove, John A.
- 97-120 Tax enforcement, technology, and the informal sector
by Elgin, Ceyhun & Solis-Garcia, Mario
- 121-142 Macroeconomic scenarios for the south Mediterranean countries: Evidence from general equilibrium model simulation results
by Paroussos, Leonidas & Fragkiadakis, Kostas & Charalampidis, Ioannis & Tsani, Stella & Capros, Pantelis
- 143-155 From equilibrium to autopoiesis: A Luhmannian reading of Veblenian evolutionary economics
by Valentinov, Vladislav
- 156-180 Contagion risk in the Czech financial system: A network analysis and simulation approach
by Hausenblas, Václav & Kubicová, Ivana & Lešanovská, Jitka
- 181-196 A nonlinear investigation of the twin deficits hypothesis over the business cycle: Evidence from Turkey
by Çatık, Abdurrahman Nazif & Gök, Barış & Akseki, Utku
2014, Volume 38, Issue 4
- 469-469 EuroConference 2013 Symposium: International Conference on Business, Economics and Finance
by Balcilar, Mehmet & Kutan, Ali M.
- 470-486 Influence of institutional investors' participation on flipping activity of Malaysian IPOs
by Che-Yahya, Norliza & Abdul-Rahim, Ruzita & Yong, Othman
- 487-501 The influence of lock-up provisions on IPO initial returns: Evidence from an emerging market
by Mohd Rashid, Rasidah & Abdul-Rahim, Ruzita & Yong, Othman
- 502-517 Financial constraints and corporate investments during the current financial and economic crisis: The credit crunch and investment decisions of Slovenian firms
by Črnigoj, Matjaž & Verbič, Miroslav
- 518-535 Factors of trade in Europe
by Hanousek, Jan & Kočenda, Evžen
- 536-551 Explaining the Czech interbank market risk premium
by Geršl, Adam & Lešanovská, Jitka
- 553-571 Stock market co-movements: Islamic versus conventional equity indices with multi-timescales analysis
by Dewandaru, Ginanjar & Rizvi, Syed Aun R. & Masih, Rumi & Masih, Mansur & Alhabshi, Syed Othman
- 572-587 Determinants of credit to households: An approach using the life-cycle model
by Rubaszek, Michał & Serwa, Dobromił
- 588-596 Taxation and income shifting: Empirical evidence from a quasi-experiment in China
by An, Zhiyong & Tan, Congyan
- 597-613 Balance sheet effects and original sinners’ risk premiums
by Tkalec, Marina & Vizek, Maruška & Verbič, Miroslav
2014, Volume 38, Issue 3
- 289-308 How to foresee banking crises? A survey of the empirical literature
by Kauko, Karlo
- 309-332 Monetary policy, exchange rates and labor unions in SEE and the CIS during the financial crisis
by Jovanovic, Branimir & Petreski, Marjan
- 333-349 Pollution and informal economy
by Elgin, Ceyhun & Oztunali, Oguz
- 350-359 Military versus non-military government spending and the shadow economy
by Goel, Rajeev K. & Saunoris, James W.
- 360-378 Ceremonial science: The state of Russian economics seen through the lens of the work of ‘Doctor of Science’ candidates
by Libman, Alexander & Zweynert, Joachim
- 379-396 Economic and spatial determinants of interregional migration in Kazakhstan
by Aldashev, Alisher & Dietz, Barbara
- 397-414 The micro evolution of trade and turnover in Turkey under the global crisis
by Lo Turco, Alessia & Maggioni, Daniela
- 415-432 Inflation aversion in transition countries: Empirical evidence from the Baltic States
by Berlemann, Michael
- 433-450 The effect of housing and stock market wealth on consumption in emerging and developed countries
by Ahec Šonje, Amina & Čeh Časni, Anita & Vizek, Maruška
- 451-467 Direct and indirect oil shocks and their impacts upon energy related stocks
by Broadstock, David C. & Wang, Rui & Zhang, Dayong
2014, Volume 38, Issue 2
- 140-160 Intra-market sovereign linkages of key Latin American markets
by Thuraisamy, Kannan Sivananthan
- 161-177 Equity market contagion during the global financial crisis: Evidence from the world's eight largest economies
by Dungey, Mardi & Gajurel, Dinesh
- 178-193 Sectoral and industrial performance during a stock market crisis
by Ranjeeni, Kumari
- 194-204 Least squares learning and the US Treasury bill rate
by Mishra, Sagarika & Dhole, Sandip
- 205-220 An analysis of firm and market volatility
by Sharma, Susan Sunila & Narayan, Paresh Kumar & Zheng, Xinwei
- 221-242 Different institutional behavior in different economic systems: Theory and evidence on diverging systems worldwide
by Cohen, Solomon I.
- 243-260 Exchange rate volatility and Spanish-American commodity trade flows
by Bahmani-Oskooee, Mohsen & Harvey, Hanafiah & Hegerty, Scott W.
- 261-268 Non-parametric and semi-parametric asset pricing: An application to the Colombian stock exchange
by Gómez-González, José Eduardo & Sanabria-Buenaventura, Elioth Mirsha
- 269-287 The relationship between trade, FDI and economic growth in Tunisia: An application of the autoregressive distributed lag model
by Belloumi, Mounir
2014, Volume 38, Issue 1
- 7-25 Measures to tame credit growth: Are they effective?
by Geršl, Adam & Jašová, Martina
- 26-42 Demand and supply drivers of foreign currency loans in CEECs: A meta-analysis
by Crespo Cuaresma, Jesús & Fidrmuc, Jarko & Hake, Mariya
- 43-54 The interest rate spreads in the Czech Republic: Different loans, different determinants?
by Hainz, Christa & Horváth, Roman & Hlaváček, Michal
- 55-72 Bank valuation in new EU member countries
by Fang, Yiwei & Hasan, Iftekhar & Marton, Katherin & Waisman, Maya
- 73-88 The impact of macro news and central bank communication on emerging European forex markets
by Égert, Balázs & Kočenda, Evžen
- 89-99 Look before you leap: Why politicians may have a point to be hesitant about the gains from trade
by Gundlach, Erich & de Vaal, Albert
- 100-114 Long-run and short-run determinants of sovereign bond yields in advanced economies
by Poghosyan, Tigran
- 115-135 Determinants of total factor productivity in former Soviet Union economies: A stochastic frontier approach
by Arazmuradov, Annageldy & Martini, Gianmaria & Scotti, Davide
2013, Volume 37, Issue 4
- 493-507 Income convergence prospects in Europe: Assessing the role of human capital dynamics
by Crespo Cuaresma, Jesus & Havettová, Miroslava & Lábaj, Martin
- 508-521 Institutional quality and environmental pollution: MENA countries versus the rest of the world
by Goel, Rajeev K. & Herrala, Risto & Mazhar, Ummad
- 522-541 The effects of foreign exchange and monetary policies in Russia
by Ono, Shigeki
- 542-554 How I learned to stop worrying and love the crisis
by Fidrmuc, Jan & Tichit, Ariane
- 555-571 Estimating the effects of democratization in African countries: A simultaneous equations approach
by Green, Alan
- 572-597 Does economic globalization affect the level and volatility of labor demand by skill? New insights from the Tunisian manufacturing industries
by Ben Salha, Ousama
- 598-609 Central bank transparency and financial market expectations: The case of emerging markets
by Neuenkirch, Matthias
- 610-624 Institutions and economic development: A Granger causality analysis of panel data evidence
by Law, Siong Hook & Lim, Thong Cheen & Ismail, Normaz Wana
- 625-649 Stability or restructuring? Macroeconomic dynamics under soft budget constraint problems
by Toyofuku, Kenta
- 650-670 The shadow economy beyond European public governance
by Quintano, Claudio & Mazzocchi, Paolo
2013, Volume 37, Issue 3
- 333-344 The distribution of income between labor and capital is not stable: But why is that so and why does it matter?
by Brada, Josef C.
- 345-353 Institutions, social capability, and economic growth
by Putterman, Louis
- 354-368 The evolving pattern of the wage–labor productivity nexus in China: Evidence from manufacturing firm-level data
by Zhang, Jun & Liu, Xiaofeng
- 369-386 What is the potential impact of a taxation system reform on carbon abatement and industrial growth in China?
by Chen, Shiyi
- 387-403 Dissecting the German export miracle: Plant-level evidence
by Etzel, Daniel & Hauptmann, Andreas & Schmerer, Hans-Jörg
- 404-414 Do natural resources define convergence clubs? Empirical evidence from the Kazakh regions
by Frey, Daniel & Frey, Miriam & Wieslhuber, Carmen
- 415-430 The effect of World Bank trade adjustment assistance on trade and growth, 1987–2004: Is the glass half full or half empty?
by Jinjarak, Yothin & Salinas, Gonzalo & Tsikata, Yvonne M.
- 431-448 Weber, Marx, and work values: Evidence from transition economies
by Linz, Susan J. & Chu, Yu-Wei Luke
- 449-461 Sharing risk within and across countries: the role of labor market institutions
by Lo Prete, Anna
- 462-472 Remittances and economic growth: A study of Guyana
by Kumar, Ronald Ravinesh
2013, Volume 37, Issue 2
- 141-154 Exploring tax evasion in the context of political uncertainty
by Katz, Barbara G. & Owen, Joel
- 155-170 Capital mobility in the Caucasus
by Jamilov, Rustam
- 171-186 Equity aspects of VAT in emerging European countries: A case study of Serbia
by Arsić, Milojko & Altiparmakov, Nikola
- 187-216 How effective is monetary transmission in low-income countries? A survey of the empirical evidence
by Mishra, Prachi & Montiel, Peter
- 217-232 Fiscal impact of privatization revisited: The role of tax revenues in transition economies
by Crivelli, Ernesto
- 233-253 An empirical analysis of the nexus between external balance and government budget balance: The case of the GIIPS countries
by Algieri, Bernardina
- 254-270 Resource concentration, institutional quality and the natural resource curse
by Oskenbayev, Yessengali & Yilmaz, Mesut & Abdulla, Kanat
- 271-283 Economic integration and government revenue from financial repression
by Jinjarak, Yothin
- 284-301 Public–private sector wage differentials and the business cycle
by Maczulskij, Terhi
- 302-329 The exchange rate pass-through in the new EU member states
by Jimborean, Ramona
2013, Volume 37, Issue 1
- 1-16 Modeling institutional evolution
by Neyapti, Bilin
- 17-29 Measuring the interconnectedness of financial institutions
by Bhar, Ramaprasad & Nikolova, Biljana
- 30-44 The transition from dual-track pricing to a market system: Winners and losers
by Bennett, John & Dixon, Huw & Hu, Helen X.Y.
- 45-60 Structural breaks in public finances in Central and Eastern European countries
by Ayala, Astrid & Blazsek, Szabolcs
- 61-68 Persistence and non-linearity in US unemployment: A regime-switching approach
by Cevik, Emrah Ismail & Dibooglu, Sel
- 69-80 Transparency and inflation: What is the effect on the Brazilian economy?
by de Mendonça, Helder Ferreira & de Siqueira Galveas, Karine Alves
- 81-91 International stock market integration: Central and South Eastern Europe compared
by Horvath, Roman & Petrovski, Dragan
- 92-110 Financial intermediation costs in low income countries: The role of regulatory, institutional, and macroeconomic factors
by Poghosyan, Tigran
- 111-121 Internet usage and the shadow economy: Evidence from panel data
by Elgin, Ceyhun
- 122-134 A survey on time-varying parameter Taylor rule: A model modified with interest rate pass-through
by Yüksel, Ebru & Metin-Ozcan, Kivilcim & Hatipoglu, Ozan
2012, Volume 36, Issue 4
- 471-486 Firm efficiency: Domestic owners, coalitions, and FDI
by Hanousek, Jan & Kočenda, Evžen & Mašika, Michal
- 487-505 Spatial inequality and household poverty in Ghana
by Annim, Samuel Kobina & Mariwah, Simon & Sebu, Joshua
- 506-521 Money market pressure in emerging economies: International contagion versus domestic determinants
by Hegerty, Scott W.
- 522-530 Firms, public good provision and institutional uncertainty: Evidence from Russia
by Leppänen, Simo & Linden, Mikael & Solanko, Laura
- 531-551 Analyzing China's productivity growth: Evidence from manufacturing industries
by Liu, Tung & Li, Kui-Wai
- 552-570 Multifactor explanations of returns on the Warsaw Stock Exchange in light of the ICAPM
by Urbański, Stanisław
- 571-593 Interest rate pass-through in South East Europe: An empirical analysis
by Petrevski, Goran & Bogoev, Jane
- 594-608 Monetary policy in a small open economy with fixed exchange rate: The case of Macedonia
by Jovanovic, Branimir & Petreski, Marjan
- 609-628 Adoption of inflation targeting and tax revenue performance in emerging market economies: An empirical investigation
by Lucotte, Yannick
2012, Volume 36, Issue 3
- 338-350 Martingale difference hypothesis and financial crisis: Empirical evidence from European emerging foreign exchange markets
by Lazăr, Dorina & Todea, Alexandru & Filip, Diana
- 351-371 Demographic transition, education and economic growth in Tunisia
by Frini, Olfa & Muller, Christophe
- 372-390 Monetary policy and stock prices in small open economies: Empirical evidence for the new EU member states
by Pirovano, Mara
- 391-410 Early warning systems for currency crises: The Turkish case
by Ari, Ali
- 411-425 Theory of social transformation, political transition and economic growth
by Boakye, Said
- 426-443 Understanding Russian regions’ economic performance during periods of decline and growth—An extreme bound analysis approach
by Ahrend, Rüdiger
- 444-460 Cognitive skill and technology diffusion: An empirical test
by Jones, Garett
- 461-469 Is the causal nexus of energy utilization and economic growth asymmetric in the US?
by Hatemi-J, Abdulnasser & Uddin, Gazi Salah
2012, Volume 36, Issue 2