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Content
2022, Volume 169, Issue C
2021, Volume 168, Issue C
- 1-9 Short and long run environmental tax buoyancy in EU-28: a panel study
by De Pascale, Gianluigi & Fiore, Mariantonietta & Contò, Francesco
- 10-24 Nowcasting Russian GDP using forecast combination approach
by Zhemkov, Michael
- 25-39 How to simulate international economic sanctions: A multipurpose index modelling illustrated with EU sanctions against Russia
by Bali, Morad & Rapelanoro, Nady
- 40-55 New insights on the debt-growth nexus: A combination of the interactive fixed effects and panel threshold approach
by Kassouri, Yacouba & Altıntaş, Halil & Alancioğlu, Erdal & Kacou, Kacou Yves Thierry
- 56-75 Economic sentiment indicators and foreign direct investment: Empirical evidence from European Union countries
by Cieślik, Andrzej & Ghodsi, Mahdi
- 76-97 Dependence structure between oil price volatility and sovereign credit risk of oil exporters: Evidence using a copula approach
by Ehouman, Yao Axel
- 98-114 How does terms of trade volatility affect macroeconomic volatility? The roles of financial development and institutions
by Avom, Désiré & Kamguia, Brice & Ngameni, Joseph Pasky & Njangang, Henri
- 115-131 Service characteristics and the choice between exports and FDI: Evidence from Belgian firms
by Sleuwaegen, Leo & Smith, Peter M.
- 132-165 Currency depreciations in emerging economies: A blessing or a curse for external debt management?
by Fisera, Boris & Workie Tiruneh, Menbere & Hojdan, David
- 166-181 Improving the predictability of stock returns with global financial cycle and oil price in oil-exporting African countries
by Adekoya, Oluwasegun B. & Ogunbowale, Gideon O. & Akinseye, Ademola B. & Oduyemi, Gabriel O.
2021, Volume 167, Issue C
- 1-14 Effects of governance quality on exports in Sub-Saharan Africa
by Bah, Mamadou & Atangana Ondoa, Henri & Kpognon, Koffi Délali
- 15-28 Financial inclusion, income inequality, and institutions in sub-Saharan Africa: Identifying cross-country inequality regimes
by Sawadogo, Relwendé & Semedo, Gervasio
- 29-38 Inflation-targeting and inflation volatility: International evidence from the cosine-squared cepstrum
by Antonakakis, Nikolaos & Christou, Christina & Gil-Alana, Luis A. & Gupta, Rangan
- 39-49 Oil price volatility in the context of Covid-19
by Bourghelle, David & Jawadi, Fredj & Rozin, Philippe
- 50-58 FX markets’ reactions to COVID-19: Are they different?
by Bazán-Palomino, Walter & Winkelried, Diego
- 59-77 The US shale gas revolution: An opportunity for the US manufacturing sector?
by Kirat, Yassine
- 78-87 Is there any information content of traded stocks in an emerging market? Evidence from Vietnam
by Doan, Bao & Vo, Duc Hong
- 88-95 U.S. historical initial jobless claims. Is it different with the coronavirus crisis? A fractional integration analysis
by Monge, Manuel
- 96-107 What moves housing markets: A state-space approach of the price-income ratio
by Rizi, Majid Haghani
- 108-119 Robots are not always bad for employment and wages
by Sequeira, Tiago Neves & Garrido, Susana & Santos, Marcelo
- 120-135 Uncovering the implicit short-term inflation target of the Bank of England
by Zhu, Sheng & Kavanagh, Ella & O'Sullivan, Niall
- 136-150 Economic policy uncertainty and the volatility connectedness between oil shocks and metal market: An extension
by Oliyide, Johnson A. & Adekoya, Oluwasegun B. & Khan, Muhammad A.
- 151-173 Dynamic effects of trade barriers with speculation on foreign currency: The case of Iran
by Rahmati, Mohammad Hossein & Ebrahimian, Mehran & Madanizadeh, Seyed Ali
- 174-188 Twin trade shocks: Spillovers from US-China trade tensions
by Kireyev, Alexei & Leonidov, Andrei
- 189-205 Measuring size distortions of location quotients
by Iglesias, Matias Nehuen
- 206-228 External and internal exchange rates and the Dutch disease: Evidence from a panel of oil-exporting African countries
by Mien, Edouard
2021, Volume 166, Issue C
- 1-22 Dynamic optimal portfolio choice under time-varying risk aversion
by Díaz, Antonio & Esparcia, Carlos
- 23-41 Understanding China's role in recent debt relief operations: A case study analysis
by Bon, Gatien & Cheng, Gong
- 42-57 Frequency domain analysis and filtering of business and consumer survey expectations
by Claveria, Oscar & Monte, Enric & Torra, Salvador
- 58-70 Economic growth and corruption in emerging markets: Does economic freedom matter?
by Malanski, Leonardo Köppe & Póvoa, Angela Cristiane Santos
- 71-94 The impact of services trade restrictiveness on food trade
by Zongo, Amara
- 95-115 The impact of regulatory distance from global standards on a country’s centrality in global value chains
by Inui, Tomohiko & Ikeuchi, Kenta & Obashi, Ayako & Yang, Qizhong
- 116-125 Examining the impact of ICT, human capital and carbon emissions: Evidence from the ASEAN economies
by Haini, Hazwan
- 126-139 Diversification potential in real estate portfolios
by Candelon, Bertrand & Fuerst, Franz & Hasse, Jean-Baptiste
- 140-166 The International Trade and Production Database for Estimation (ITPD-E)
by Borchert, Ingo & Larch, Mario & Shikher, Serge & Yotov, Yoto V.
- 167-176 The discount factor for expected fundamentals: Evidence from a panel of 25 exchange rates
by Cumperayot, Phornchanok & Kouwenberg, Roy
2021, Volume 165, Issue C
- 1-13 Protectionism and international trade: A long-run view
by Gregori, Tullio
- 14-36 Too much finance or too many weak instruments?
by Fajeau, Maxime
- 37-50 Dynamic relations between oil and stock markets: Volatility spillovers, networks and causality
by Gomez-Gonzalez, Jose E. & Hirs-Garzón, Jorge & Sanín-Restrepo, Sebastián
- 51-66 Economic activity, and financial and commodity markets’ shocks: An analysis of implied volatility indexes
by Urom, Christian & Ndubuisi, Gideon & Ozor, Jude
- 67-84 Exchange rates and fundamentals: Further evidence based on asymmetric causality test
by Soon, Siew-Voon & Baharumshah, Ahmad Zubaidi
- 85-93 Twin balances, public governance and private investment: Quantile estimation for OECD countries
by Su, Thanh Dinh & Nguyen, Canh Phuc
- 94-117 MULTIPRIL, a new database on multilateral price levels and currency misalignments
by Couharde, Cécile & Grekou, Carl & Mignon, Valérie
- 121-139 New evidence on international risk-sharing in the Economic Community of West African States (ECOWAS)
by Zouri, Stéphane
- 140-153 The energy transition, Trump energy agenda and COVID-19
by Selmi, Refk & Bouoiyour, Jamal & Hammoudeh, Shawkat & Errami, Youssef & Wohar, Mark E.
- 154-171 Regional and global patterns of participation in value chains: Evidence from Brazil
by Araújo, Inácio Fernandes de & Perobelli, Fernando Salgueiro & Faria, Weslem Rodrigues
- 172-185 Bilateral investment treaties and backward linkages in Sub-Saharan Africa
by Amendolagine, Vito & Prota, Francesco
- 186-203 Global imbalances, external adjustment and propagated shocks: An African perspective from a global VAR model
by Omoshoro-Jones, Oyeyinka S. & Bonga-Bonga, Lumengo
- 204-217 Export performance and capacity pressures in Central and Eastern Europe
by Staehr, Karsten
- 218-240 Income inequality, human capital and terrorism in Africa: Beyond exploratory analytics
by Ajide, Kazeem B. & Alimi, Olorunfemi Y.
- 241-263 Impact of the ECB Quantitative Easing on the International Investment Position
by Cezar, Rafael & Silvestrini, Maéva
- 264-277 Environmental regulation and productivity growth: Main policy challenges
by De Santis, R. & Esposito, P. & Lasinio, C. Jona
2020, Volume 164, Issue C
- 1-17 Exports to China and economic growth in Latin America, unequal effects within the region
by Arteaga, Julio César & Cardozo, Mónica Liseth & Diniz, Márcia Jucá T.
- 18-35 Oil price jumps and the uncertainty of oil supplies in a geopolitical perspective: The role of OPEC’s spare capacity
by Selmi, Refk & Bouoiyour, Jamal & Miftah, Amal
- 36-47 Rediscovering the EKC hypothesis for the 20 highest CO2 emitters among OECD countries by level of globalization
by Leal, Patrícia Hipólito & Marques, António Cardoso
- 48-68 Understanding how foreign direct investment inflows impact urbanization in Africa
by Grekou, Carl & Owoundi, Ferdinand
- 69-85 Better the devil you know: Home and sectoral biases in bank lending
by Burietz, A. & Ureche-Rangau, L.
- 86-114 A case for leaning against the wind in a commodity-exporting economy
by Kozlovtceva, Irina & Ponomarenko, Alexey & Sinyakov, Andrey & Tatarintsev, Stas
- 115-139 Extension of the Fama and French model: A study of the largest European financial institutions
by Jareño, Francisco & González, María de la O & Escolástico, Alba M.
- 140-150 The drivers of economic complexity: International evidence from financial development and patents
by Nguyen, Canh Phuc & Schinckus, Christophe & Su, Thanh Dinh
- 151-167 Classification of transfer pricing systems across countries
by Rathke, Alex A.T. & Rezende, Amaury J. & Watrin, Christoph
- 168-182 Economic complexity, human capital, and FDI attraction: A cross country analysis
by Sadeghi, Pegah & Shahrestani, Hamid & Kiani, Kambiz Hojabr & Torabi, Taghi
- 183-193 Do structural shocks in the crude oil market affect biofuel prices?
by Maghyereh, Aktham I. & Sweidan, Osama D.
- 194-205 Global value chains and the missing link between exchange rates and export diversification
by Tran, Thi Anh-Dao & Phi, Minh Hong & Thai, Long
- 206-216 Fettered cross-border capital flows, external finance dependence, and international trade
by Ndubuisi, Gideon
- 217-240 Three-player sovereign debt negotiations
by Elard, Ilaf
2020, Volume 163, Issue C
- 1-24 Real exchange rate misalignments in developing countries: The role of exchange rate flexibility and capital account openness
by Mahraddika, Wishnu
- 25-43 Business cycles, bilateral trade and financial integration: Evidence from Economic Community of West African States (ECOWAS)
by Zouri, Stéphane
- 44-57 The threshold of absorptive capacity: The case of Vietnamese manufacturing firms
by Duong, Vu Hoang
- 58-71 On the effect of credit rating announcements on sovereign bonds: International evidence
by Kenourgios, Dimitrios & Umar, Zaghum & Lemonidi, Paraskevi
- 72-91 Expectations anchoring indexes for Brazil using Kalman filter: Exploring signals of inflation anchoring in the long term
by de Oliveira, Fernando Nascimento & Gaglianone, Wagner Piazza
- 92-100 Investment confidence and regional trade agreements with the United States
by Chong, Alberto & Srebot, Carla
- 101-113 Policy uncertainty and consumption in G7 countries: An asymmetry analysis
by Bahmani-Oskooee, Mohsen & Maki Nayeri, Majid
- 114-133 The impact of future power generation on cement demand: An international and regional assessment based on climate scenarios
by Hache, Emmanuel & Simoën, Marine & Seck, Gondia Sokhna & Bonnet, Clément & Jabberi, Aymen & Carcanague, Samuel
- 134-146 Cross-country convergence in global value chains: Evidence from club convergence analysis
by Jangam, Bhushan Praveen & Rath, Badri Narayan
- 147-154 Tracking fiscal discipline. Looking for a PIIGS on the wing
by Neto, David
- 155-162 Loan growth, capitalization, and credit risk in Islamic banking
by Sobarsyah, Muhammad & Soedarmono, Wahyoe & Yudhi, Wahdi Salasi Apri & Trinugroho, Irwan & Warokka, Ari & Pramono, Sigid Eko
- 163-175 A real time leading economic indicator based on text mining for the Spanish economy. Fractional cointegration VAR and Continuous Wavelet Transform analysis
by Poza, Carlos & Monge, Manuel
2020, Volume 162, Issue C
- 1-14 Manufacturing firms’ export activity: Business and financial cycles overlaps!
by Laborda, Juan & Salas, Vicente & Suárez, Cristina
- 15-33 Role of capital flight as a driver of sovereign bond spreads in Latin American countries
by Dachraoui, Hajer & Smida, Mounir & Sebri, Maamar
- 34-49 Insulating property of the flexible exchange rate regime: A case of Central and Eastern European countries
by Dąbrowski, Marek A. & Wróblewska, Justyna
- 50-66 Natural resource rents, political regimes and terrorism in Africa
by Ajide, Kazeem B. & Adenuga, Juliet I. & Raheem, Ibrahim D.
- 67-79 Growth accounting and regressions: New approach and results
by Sequeira, Tiago & Morão, Hugo
- 80-91 Mexican peso-USD exchange rate: A switching linear dynamical model application
by Saldaña-Zepeda, Dayna P. & Velasco-Cruz, Ciro & Torres-Preciado, Víctor H.
- 92-109 Collateral damage: The Western sanctions on Russia and the evaluation of implications for Russia’s post-communist neighbourhood
by Bayramov, Vugar & Rustamli, Nabi & Abbas, Gulnara
- 110-124 The effects of investor emotions sentiments on crude oil returns: A time and frequency dynamics analysis
by Maghyereh, Aktham & Awartani, Basel & Abdoh, Hussein
2020, Volume 161, Issue C
- 1-9 NAFTA and the convergence of CO2 emissions intensity and its determinants
by Apergis, Nicholas & Payne, James E.
- 10-29 Regime dependent effects and cyclical volatility spillover between crude oil price movements and stock returns
by Urom, Christian & Onwuka, Kevin O. & Uma, Kalu E. & Yuni, Denis N.
- 30-40 The role of carry trades on the effectiveness of Japan's quantitative easing
by Chuffart, Thomas & Dell'Eva, Cyril
- 41-55 Understanding the dynamics of foreign reserve management: The central bank intervention policy and the exchange rate fundamentals
by Uz Akdogan, Idil
- 56-65 How do human rights violations affect poverty and income distribution?
by Apergis, Nicholas & Cooray, Arusha
- 66-82 Tail dependence structures between economic policy uncertainty and foreign exchange markets: Nonparametric quantiles methods
by Al-Yahyaee, Khamis Hamed & Shahzad, Syed Jawad Hussain & Mensi, Walid
- 83-99 Inequality, poverty and economic growth
by Breunig, Robert & Majeed, Omer
- 100-119 Arab geopolitics in turmoil: Implications of Qatar-Gulf crisis for business
by Selmi, Refk & Bouoiyour, Jamal
- 120-129 Investigating Asian regional income convergence using Fourier Unit Root test with Break
by Yaya, OlaOluwa S. & Furuoka, Fumitaka & Pui, Kiew Ling & Jacob, Ray Ikechukwu & Ezeoke, Chinyere M.
- 130-138 Halloween Effect in developed stock markets: A historical perspective
by Plastun, Alex & Sibande, Xolani & Gupta, Rangan & Wohar, Mark E.
- 139-158 The post-crises output growth effects in a globalized economy
by Candelon, Bertrand & Carare, Alina & Hasse, Jean-Baptiste & Lu, Jing
- 159-172 Determinants of foreign direct investment inflows: The role of economic policy uncertainty
by Canh, Nguyen Phuc & Binh, Nguyen Thanh & Thanh, Su Dinh & Schinckus, Christophe
- 173-187 Growing external debt and declining export: The concurrent impediments in economic growth of Sub-Saharan African countries
by Edo, Samson & Osadolor, Nneka Esther & Dading, Isuwa Festus
- 188-198 Constrained Poisson pseudo maximum likelihood estimation of structural gravity models
by Pfaffermayr, Michael
- 199-218 Measuring the natural rate of interest in a commodity exporting economy: Evidence from Mongolia
by Doojav, Gan-Ochir & Gantumur, Munkhbayar
- 219-236 Are global value chains receding? The jury is still out. Key findings from the analysis of deflated world trade in parts and components
by Gaulier, Guillaume & Sztulman, Aude & Ünal, Deniz
- 237-247 Measuring the Balassa-Samuelson effect: A guidance note on the RPROD database
by Couharde, Cécile & Delatte, Anne-Laure & Grekou, Carl & Mignon, Valérie & Morvillier, Florian
2019, Volume 160, Issue C
- 3-13 The nonlinear relationship between economic growth and financial development: Evidence from developing, emerging and advanced economies
by Botev, Jaroslava & Égert, Balázs & Jawadi, Fredj
- 14-30 Political uncertainty and financial market reactions: A new test
by Wang, Huiqiang & Boatwright, Annie L.
- 31-42 Who's winning the low-carbon innovation race? An assessment of countries' leadership in renewable energy technologies
by Bonnet, Clément & Hache, Emmanuel & Seck, Gondia Sokhna & Simoën, Marine & Carcanague, Samuel
- 43-55 The impact of public capital stock on energy consumption: Empirical evidence from Latin America and the Caribbean region
by Koengkan, Matheus & Santiago, Renato & Fuinhas, José Alberto
- 56-71 Who leads the inflation cycle in Europe? Inflation cycle and spillover influence among Eurozone and non-Eurozone economies
by Kang, Sang Hoon & Arreola Hernandez, Jose & Yoon, Seong-Min
- 72-83 The impact of biofuels on food security
by Subramaniam, Yogeeswari & Masron, Tajul Ariffin & Azman, Nik Hadiyan Nik
- 84-89 A practical routine to harmonize product classifications over time
by Bellert, Nicole & Fauceglia, Dario
2019, Volume 159, Issue C
- 1-17 Banking competition, financial dependence and productivity growth in Europe
by Leroy, Aurélien
- 18-25 Does inequality really matter in forecasting real housing returns of the United Kingdom?
by Hassani, Hossein & Yeganegi, Mohammad Reza & Gupta, Rangan
- 26-35 Frankel and Romer revisited
by Nordås, Hildegunn Kyvik
- 36-47 Who is hurt by dollar-euro volatility in the euro zone?
by Bahmani-Oskooee, Mohsen & Harvey, Hanafiah
- 48-55 Unemployment effect of WTO ascension: Evidence from a natural experiment
by Onwachukwu, Chinedu Increase & Okagbue, Ekene Francis
- 56-73 The technical decomposition of carbon emissions and the concerns about FDI and trade openness effects in the United States
by Shahbaz, Muhammad & Gozgor, Giray & Adom, Philip Kofi & Hammoudeh, Shawkat
- 74-93 Intelligent forecasting of economic growth for developing economies
by Chuku, Chuku & Simpasa, Anthony & Oduor, Jacob
- 94-104 Bank consolidation and financial stability in Indonesia
by Yusgiantoro, Inka & Soedarmono, Wahyoe & Tarazi, Amine
- 105-120 Product relatedness in the extensive margin of bilateral trade
by Kharel, Paras
- 121-139 China's “New normal”: Will China's growth slowdown derail the BRICS stock markets?
by Selmi, Refk & Bouoiyour, Jamal & Miftah, Amal
- 140-150 Testing the Fisher hypothesis in the G-7 countries using I(d) techniques
by Caporale, Guglielmo Maria & Gil-Alaña, Luis
- 151-164 How much will the Belt and Road Initiative reduce trade costs?
by de Soyres, François & Mulabdic, Alen & Murray, Siobhan & Rocha, Nadia & Ruta, Michele
2019, Volume 158, Issue C
- 1-11 Understanding the non-Gaussian distribution of revealed comparative advantage index and its alternatives
by Liu, Bin & Gao, Jianbo
- 12-24 Are “twin deficits” asymmetric? Evidence on government budget and current account balances, 1870–2013
by Karras, Georgios
- 25-38 Testing the globalization-driven carbon emissions hypothesis: International evidence
by Shahbaz, Muhammad & Kumar Mahalik, Mantu & Jawad Hussain Shahzad, Syed & Hammoudeh, Shawkat
- 39-50 Does international reserve accumulation crowd out domestic private investment?
by Mahraddika, Wishnu
- 51-63 Can West African countries catch up with Nigeria? Evidence from smooth nonlinearity method in fractional unit root framework
by Yaya, OlaOluwa S. & Ling, Pui Kiew & Furuoka, Fumitaka & Rose Ezeoke, Chinyere Mary & Jacob, Ray Ikechukwu
- 64-76 An examination of trade-weighted real exchange rates based on fractional integration
by Gil-Alana, Luis Alberiko & Trani, Tommaso
- 77-90 Vine copula-based dependence and portfolio value-at-risk analysis of the cryptocurrency market
by Boako, Gideon & Tiwari, Aviral Kumar & Roubaud, David
- 91-103 The importance of the financial system for the current account in Sweden: A sectoral approach
by Spånberg, Erik & Shahnazarian, Hovick
2019, Volume 157, Issue C
- 1-22 Exchange rate predictability in emerging markets
by Baku, Elisa
- 23-32 Volatility estimation for Bitcoin: Replication and robustness
by Charles, Amélie & Darné, Olivier
- 33-54 Cross-border interbank contagion in the European banking sector
by Gabrieli, Silvia & Salakhova, Dilyara
- 55-67 Iterative solutions for structural gravity models in panels
by Poissonnier, Aurélien
- 68-81 From nominal devaluations to real depreciations
by Grekou, Carl
- 82-98 Multiple time-scales analysis of global stock markets spillovers effects in African stock markets
by Gourène, Grakolet Arnold Z. & Mendy, Pierre & N'gbo Ake, Gilbert Marie
- 99-116 Is a more financially open world riskier?
by Stolbov, Mikhail
- 117-133 Conditional quantiles and tail dependence in the volatilities of gold and silver
by Bouri, Elie & Jalkh, Naji
- 134-169 Do economic openness and institutional quality influence patents? Evidence from GMM systems estimates
by Phuc Canh, Nguyen & Schinckus, Christophe & Thanh, Su Dinh
- 170-178 The chain version of Heckscher-Ohlin theory correctly predicts U.S. trade flows!
by Cavusoglu, Nevin
- 179-202 The accuracy of asymmetric GARCH model estimation
by Charles, Amélie & Darné, Olivier
- 203-226 Foreign direct investment and wage dispersion: Evidence from French employer-employee data
by Laffineur, Catherine & Gazaniol, Alexandre
2018, Volume 156, Issue C
- 1-14 Sovereign risk and the real exchange rate: A non-linear approach
by Ojeda-Joya, Jair N. & Sarmiento, Gloria
- 15-30 Asymmetric impacts of public and private investments on the non-oil GDP of Saudi Arabia
by Mensi, Walid & Hussain Shahzad, Syed Jawad & Hammoudeh, Shawkat & Al-Yahyaee, Khamis Hamed
- 31-44 The causal effect of reducing trade policy uncertainty: A comparative case study of Bangladesh's textile exports to Switzerland
by Ritzel, Christian & Kohler, Andreas & Mann, Stefan & Beciu, Silviu
- 45-60 Are all cycles alike? An empirical investigation of regional and global factors in developed and emerging economies
by Benhamou, Zouhair Ait
- 61-76 Who fears or favors globalization? Evidence from individual-level survey data in Japan
by Kagitani, Koichi & Harimaya, Kozo
- 77-85 Re-examination of the convergence hypothesis among OECD countries: Evidence from Fourier quantile unit root test
by Bahmani-Oskooee, Mohsen & Chang, Tsangyao & Elmi, Zahra (Mila) & Ranjbar, Omid
- 86-97 Globalization and terror in Africa
by Asongu, Simplice A. & Biekpe, Nicholas
- 98-116 Reducing model risk in early warning systems for banking crises in the euro area
by Coudert, Virginie & Idier, Julien
- 117-126 Under pressure: Dynamic pass-through of oil prices to the RUB/USD exchange rate
by Fedoseeva, Svetlana
- 127-135 Do renewable energies improve energy security in the long run?
by Hache, Emmanuel
- 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 Moncarz, Pedro & Barone, Sergio & Descalzi, Ricardo
- 156-174 Forecasting currency crises with threshold models
by Chong, Terence T.L. & Yan, Isabel K.
- 175-192 Estimating value-at-risk using a multivariate copula-based volatility model: Evidence from European banks
by Sampid, Marius Galabe & Hasim, Haslifah M.
- 193-205 Income level and the emissions, energy, and growth nexus: Evidence from Asia and the Pacific
by Le, Thai-Ha & Quah, Euston
- 206-230 EQCHANGE: A world database on actual and equilibrium effective exchange rates
by Couharde, Cécile & Delatte, Anne-Laure & Grekou, Carl & Mignon, Valérie & Morvillier, Florian
- 231-246 Natural resource curse in oil exporting countries: A nonlinear approach
by Damette, Olivier & Seghir, Majda
- 247-253 Impact of macroeconomic news surprises and uncertainty for major economies on returns and volatility of oil futures
by Bahloul, Walid & Gupta, Rangan
- 254-267 Environment-energy-growth nexus in Sub-Saharan Africa: The role of intermediate goods
by Boutabba, Mohamed Amine & Diaw, Diadié & Lessoua, Albert
- 268-283 Dynamics of net foreign asset components in the EMU
by Cesaroni, Tatiana & De Santis, Roberta
- 284-304 How do Islamic versus conventional equity markets react to political risk? Dynamic panel evidence
by Ahmed, Walid M.A.
- 305-325 How important are global geopolitical risks to emerging countries?
by Cheng, Chak Hung Jack & Chiu, Ching-Wai (Jeremy)
- 326-364 Governance and economic growth: The role of the exchange rate regime
by Hadj Fraj, Salma & Hamdaoui, Mekki & Maktouf, Samir
2018, Volume 155, Issue C
- 1-2 Introduction to the special issue: Social values of carbon and climate policy signals in the post-COP21 context
by Espagne, Etienne & Hourcade, Jean-Charles
- 3-7 Pricing carbon removal
by Sirkis, Alfredo
- 8-18 Social value of mitigation activities and forms of carbon pricing
by Hourcade, Jean-Charles & Pottier, Antonin & Espagne, Etienne
- 19-28 The role of financing cost and de-risking strategies for clean energy investment
by Steckel, Jan Christoph & Jakob, Michael
- 29-47 SCCs and the use of IAMs: Let's separate the wheat from the chaff
by Espagne, Etienne & Pottier, Antonin & Fabert, Baptiste Perrissin & Nadaud, Franck & Dumas, Patrice
- 48-60 On the link between oil and agricultural commodity prices: Do biofuels matter?
by Paris, Anthony
- 61-68 Overcoming the financial barrier to a low emission development strategy in Brazil
by La Rovere, E.L. & Grottera, C. & Wills, W.
- 69-83 The Landscape of domestic climate investment and finance flows: Methodological lessons from five years of application in France
by Hainaut, Hadrien & Cochran, Ian
- 84-91 Guaranteeing sustainable infrastructure
by Studart, Rogerio & Gallagher, Kevin
- 92-108 Debt and damages: What are the chances of staying under the 2°C warming threshold?
by Bovari, Emmanuel & Lecuyer, Oskar & Mc Isaac, Florent
2018, Volume 154, Issue C
- 3-22 The revealed cost competitiveness of changing trade patterns: A country-sector exercise
by Del Gatto, Massimo
- 23-47 Relaxing credit constraints in emerging economies: The impact of public loans on the productivity of Brazilian manufacturers
by Lage de Sousa, Filipe & Ottaviano, Gianmarco I.P.
- 48-67 Productivity and wage premiums: Evidence from Vietnamese ordinary and processing exporters
by Vu, Mai T.P. & Bellone, Flora & Dovis, Marion
- 68-85 The exchange rate, asymmetric shocks and asymmetric distributions
by Demian, Calin-Vlad & di Mauro, Filippo
- 86-107 Governance, value chain positioning and firms' heterogeneous performance: The case of Tuscany
by Giovannetti, Giorgia & Marvasi, Enrico
2018, Volume 153, Issue C
- 11-33 International production networks and the world trade structure
by Cingolani, Isabella & Iapadre, Lelio & Tajoli, Lucia
- 34-41 Value chains in Europe and Asia: Which countries participate?
by Pomfret, Richard & Sourdin, Patricia
- 42-54 Global value chains: New evidence for North Africa
by Del Prete, Davide & Giovannetti, Giorgia & Marvasi, Enrico
- 55-68 Value chains and the great recession: Evidence from Italian and German firms
by Accetturo, Antonio & Giunta, Anna
- 69-79 The puzzle of measuring global value chains – The business statistics perspective
by Nielsen, Peter Bøegh
2017, Volume 152, Issue C
- 1-8 Comment: Inferring trade costs from trade booms and trade busts
by Corlay, Guillaume & Dupraz, Stéphane & Labonne, Claire & Muller, Anne & Antonin, Céline & Daudin, Guillaume
- 9-20 Offshore renminbi trading: Findings from the 2013 Triennial Central Bank Survey
by Cheung, Yin-Wong & Yiu, Matthew S.
- 21-25 Relationships between international tourism and modes of foreign market access
by Tomohara, Akinori
- 26-54 Financial liberalization and systemic banking crises: A meta-analysis
by Hamdaoui, Mekki
- 55-62 An empirical model of diversification cones and wage inequality for the states of Brazil
by Gomes Vale, Eleydiane Maria & deSantos De Frnança, João Mário
- 63-78 On the link between current account and oil price fluctuations in diversified economies: The case of Canada
by Gnimassoun, Blaise & Joëts, Marc & Razafindrabe, Tovonony
- 79-90 Internationalization modes and productivity of Italian manufacturing: Some firm-level evidence
by Capolupo, Rosa & Amendolagine, Vito & Serlenga, Laura
- 91-106 Understanding the decision-making process of sovereign wealth funds: The case of Temasek
by Gnabo, J.Y. & Kerkour, M. & Lecourt, C. & Raymond, H.
- 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 Mehdi Jelassi, Mohamed & Trabelsi, Jamel & Turki, Maryem
- 116-123 Central bank policy rates: Are they cointegrated?
by Caporale, Guglielmo Maria & Carcel, Hector & Gil-Alana, Luis
- 124-144 Exchange rate misalignments in energy-exporting countries: Do sovereign wealth funds matter?
by Raymond, Hélène & Coulibaly, Dramane & Omgba, Luc Désiré
2017, Volume 151, Issue C