Content
May 2020, Volume 53, Issue 2
- 241-263 Revisiting the Wagner’s law for Indian States using second generation panel cointegration
by Nupur Nirola & Sohini Sahu - 265-295 Aid for Trade and sectoral employment diversification in recipient-countries
by Sèna Kimm Gnangnon - 297-332 Heterogeneous labor and structural change in low- and middle-income, resource-dependent countries
by Peter Howie & Zauresh Atakhanova - 333-355 Finance–growth nexus in sub-Saharan Africa revisited: evidence based on a new composite index
by Olufemi Adewale Aluko & Olufemi Patrick Adeyeye & Patrick Olajide Oladele
February 2020, Volume 53, Issue 1
- 1-24 Asymmetric response of domestic production to exchange rate changes: evidence from Africa
by Mohsen Bahmani-Oskooee & Augustine C. Arize - 25-38 Terms of trade volatility, exports, and GDP
by Thorsten Janus - 39-60 Changes in the distribution of household consumption in Southeast Asia
by Giang Nguyen - 61-85 The impact of globalization and economic freedom on economic growth: the case of the Latin America and Caribbean countries
by Renato Santiago & José Alberto Fuinhas & António Cardoso Marques - 87-111 Exploring the nexus among natural resource rents, human capital and industrial development in the SSA region
by Mutiu A. Oyinlola & Abdulfatai A. Adedeji & Modupe O. Bolarinwa - 113-138 Monetary policy options for managing resource revenue shocks when fiscal policy is laissez-faire
by Chuku Chuku - 139-149 Depression and grief as a result of economic and financial crises: the example of Greece and some generalizations
by Ansgar Belke - 151-170 A simultaneous equation model of economic growth and shadow economy: Is there a difference between the developed and developing countries?
by Nedra Baklouti & Younes Boujelbene - 171-193 Structural changes in exchange rate-stock returns dynamics in South Africa: examining the role of crisis and new trading platform
by Andrew Phiri - 195-217 The effects of transitory and permanent inflation uncertainty on investment in Ghana
by Bernard Njindan Iyke & Sin-Yu Ho
November 2019, Volume 52, Issue 4
- 327-349 Asymmetric dynamics in the social contributions and social benefits nexus in Greece
by Panagiotis Palaios & Evangelia Papapetrou - 351-382 Human versus physical capital: issues of accumulation, interaction and endogeneity
by Rafi Amir-ud-Din & Muhammad Usman & Faisal Abbas & Sajid Amin Javed - 383-411 Capital structure and oligarch ownership
by Demid Chernenko - 413-438 Stock returns and inflation: a tale of two periods in India
by Niyati Bhanja & Arif Billah Dar - 439-451 Effectiveness of legal institutions in stock market development in sub-Saharan Africa
by Olufemi Adewale Aluko & Bolanle Aminah Azeez - 453-474 The role of regional and sectoral factors in Russian inflation developments
by Elena Deryugina & Natalia Karlova & Alexey Ponomarenko & Anna Tsvetkova
August 2019, Volume 52, Issue 3
- 181-202 International reserves, external debt maturity and exchange rate volatility in Ghana
by William Gabriel Brafu-Insaidoo - 203-219 Credibility of inflation targeting: some recent Asian evidence
by Dinabandhu Sethi & Debashis Acharya - 221-254 Exploring the effect of ICT and tourism on economic growth: a study of Israel
by Ronald Ravinesh Kumar & Peter Josef Stauvermann & Nikeel Kumar & Syed Jawad Hussain Shahzad - 255-277 Stock market behavior of pharmaceutical industry in Iran and macroeconomic factors
by Hassan Heidari & Arash Refah Kahriz & Yousef Mohammadzadeh - 279-300 Revisiting the effects of oil prices on exchange rate: asymmetric evidence from the ASEAN-5 countries
by Khalid M. Kisswani & Arezou Harraf & Amjad M. Kisswani - 301-326 Identification of multiple stock bubbles in an emerging market: application of GSADF approach
by Ayesha Liaqat & Mian Sajid Nazir & Iftikhar Ahmad
May 2019, Volume 52, Issue 2
- 89-121 Heavily indebted poor countries initiative (HIPC), debt relief, economic stability and economic growth in Africa
by Atangana Ondoa Henri - 123-138 Health gap between developed and developing countries: Does globalization matter?
by Khaled Elmawazini & Pranlal Manga & Sonny Nwankwo & Bader AlNaser - 139-155 Education and democracy in the Arab world
by Nouha Bougharriou & Walid Benayed & Foued Badr Gabsi - 157-179 Impact of external debt shocks on economic growth in Nigeria: a SVAR analysis
by Olugbenga Onafowora & Oluwole Owoye
February 2019, Volume 52, Issue 1
- 1-18 Is there a J-curve effect in Tunisia’s bilateral trade with her partners? New evidence from asymmetry analysis
by Mohsen Bahmani-Oskooee & Thouraya Hadj Amor & Hanafiah Harvey & Huseyin Karamelikli - 19-41 Provincial public expenditure in China: a tale of pro-cyclicality
by Jean-Louis Combes & Mary-Françoise Renard & Sampawende J.-A. Tapsoba - 43-66 Human capital, financial sector development and inclusive growth in sub-Saharan Africa
by Mutiu Abimbola Oyinlola & Abdulfatai Adedeji - 67-87 Bankruptcy profile of the Islamic and conventional banks in Malaysia: a post-crisis period analysis
by Amin Jan & Maran Marimuthu & Muhammad Kashif Shad & Haseeb ur-Rehman & Muhammad Zahid & Ahmad Ali Jan
November 2018, Volume 51, Issue 4
- 279-302 Can financial development enhance transparency?
by Nabamita Dutta & Deepraj Mukherjee - 303-316 Corruption, interest rates and business cycles: comparison of emerging economies
by Tomoya Suzuki - 317-337 Oil price changes and stock market returns: cointegration evidence from emerging market
by Mohammad I. Elian & Khalid M. Kisswani - 339-372 Oil price shocks and stock market returns of the GCC countries: empirical evidence from quantile regression analysis
by Salah A. Nusair & Jamal A. Al-Khasawneh
August 2018, Volume 51, Issue 3
- 189-220 Optimal environment-friendly economic restructuring: the United States–China cooperation case study
by Alexander Vaninsky - 221-247 Finance-growth-poverty nexus: a re-assessment of the trickle-down hypothesis in China
by Sin-Yu Ho & Bernard Njindan Iyke - 249-278 Catching-up process in the transition countries
by Omid Ranjbar & Tsangyao Chang & Chien-Chiang Lee & Zahra Mila Elmi
May 2018, Volume 51, Issue 2
- 97-112 On the asymmetric effects of exchange rate changes on domestic production in Turkey
by Mohsen Bahmani-Oskooee & Ferda Halicioglu & Amirhossein Mohammadian - 113-133 Is China a safe haven for Asian Tigers?
by Arif Billah Dar & Niyati Bhanja - 135-151 Russian 1998–2007 TFP decomposed: some inspiration emerging from inherited Soviet legacy
by Gregory Brock & Constantin Ogloblin - 153-171 Tripartite decomposition of labor productivity growth, FDI and human development: evidence from transition economies
by Khaled Elmawazini & Elias G. Saleeby & Ahmed Ibn el Farouk & Bashayer AL-Naser - 173-188 Is SADC an optimal currency area? Evidence from the generalized purchasing power parity test
by Mulatu F. Zerihun & Marthinus C. Breitenbach
February 2018, Volume 51, Issue 1
- 1-27 Human capital, institutional quality and industrial upgrading: global insights from industrial data
by Yixiao Zhou - 29-48 Inclusive growth, human capital development and natural resource rent in SSA
by Ibrahim D. Raheem & Kazeem O. Isah & Abdulfatai A. Adedeji - 49-68 Effect of tourism on economic growth of Sri Lanka: accounting for capital per worker, exchange rate and structural breaks
by Peter Josef Stauvermann & Ronald Ravinesh Kumar & Syed Jawad Hussain Shahzad & Nikeel N. Kumar - 69-95 Banking efficiency and its determinants in selected frontier african markets
by Roland Banya & Nicholas Biekpe
November 2017, Volume 50, Issue 4
- 299-339 Transition accounting for India in a multi-sector dynamic general equilibrium model
by John Bailey Jones & Sohini Sahu - 341-365 Foreign direct investment and human capital in developing countries: a panel data approach
by Veasna Kheng & Sizhong Sun & Sajid Anwar - 367-386 South Africa’s inflation persistence: a quantile regression framework
by Rangan Gupta & Charl Jooste & Omid Ranjbar
August 2017, Volume 50, Issue 3
- 189-191 Editorial of the special issue on debt, taxation, economic activity and financial variables
by Georgios P. Kouretas & Athanasios P. Papadopoulos - 193-209 Impacts of realized volatility of oil price over foreign trade related activities in Turkey
by Suleyman Degirmen & Omur Saltik - 211-238 The dynamic evolution of the Greek regional net fixed capital time series
by Kyriakos Emmanouilidis & Christos Karpetis & Erotokritos Varelas & Spyros Zikos - 239-258 Eurozone debt crisis and bond yields convergence: evidence from the new EU countries
by Minoas Koukouritakis - 259-277 The return of financial variables in forecasting GDP growth in the G-7
by Petri Kuosmanen & Juuso Vataja - 279-297 Recurrent default or policy-optimal taxation
by Mark A. Roberts
May 2017, Volume 50, Issue 2
- 95-131 Malmquist index analysis of the recent development of the Slovak banking sector from two different angles
by Martin Boďa & Emília Zimková - 133-159 Innovation indicators and regional growth in Russia
by Maria Kaneva & Galina Untura - 161-187 Impact of exchange rate volatility on the commodity trade between Pakistan and the US
by Mohsen Bahmani-Oskooee & Javed Iqbal & Saqib Ullah Khan
February 2017, Volume 50, Issue 1
- 1-20 Finance growth nexus across Indian states: evidences from panel cointegration and causality tests
by Rajesh Sharma & Samaresh Bardhan - 21-43 Sectoral change and labour productivity growth during boom, bust and recovery in Central and Eastern Europe
by Andres Kuusk & Karsten Staehr & Uku Varblane - 45-58 The stationarity of inflation in Croatia: anti-inflation stabilization program and the change in persistence
by Luis A. Gil-Alana & Andrea Mervar & James E. Payne - 59-77 Eurasian Economic Union: present and future perspectives
by Azimzhan Khitakhunov & Bulat Mukhamediyev & Richard Pomfret - 79-93 Symmetry, proportionality and productivity bias hypothesis: evidence from panel-VAR models
by Manuchehr Irandoust
November 2016, Volume 49, Issue 4
- 339-364 Investment, asset market, and the relative unit labor cost in Mexico
by Carlos A. Ibarra - 365-394 Does the central bank contribute to the political monetary cycles in Bangladesh?
by Mohammad Abdul Munim Joarder & A. K. M. Nurul Hossain & Monir Uddin Ahmed - 395-427 Economic prospect on carbon emissions in Commonwealth of Independent States
by Annageldy Arazmuradov
August 2016, Volume 49, Issue 2
- 95-112 Some key policy issues related to technology change, knowledge and absorption capacities in a country comparison perspective
by Roberta Benini - 139-157 Technological innovation policy in China: the lessons, and the necessary changes ahead
by Xiaolan Fu & Wing Thye Woo & Jun Hou - 289-307 The institutional foundation of innovativeness and competitiveness of two German industries: biotechnology and mechanical engineering compared
by Robert Kaiser
February 2016, Volume 49, Issue 1
- 1-21 Exchange rate volatility and Turkish commodity trade with the rest of the world
by Mohsen Bahmani-Oskooee & Nazif Durmaz - 23-40 Income convergence in India: a nonparametric approach
by Arfat Sofi & S. Durai - 41-69 Why is the South Korean growth experience different? An analysis of the differences of per capita GDP between South Korea and South Asian countries
by Abeer Khandker - 71-93 Market power, efficiency and bank profitability: evidence from Ghana
by Abdul Alhassan & Michael Tetteh & Freeman Brobbey - 71-93 Market power, efficiency and bank profitability: evidence from Ghana
by Abdul Latif Alhassan & Michael Lawer Tetteh & Freeman Owusu Brobbey
November 2015, Volume 48, Issue 3
- 187-208 “The beauty of gold is, it loves bad news”: evidence from three major gold consumers
by Niyati Bhanja & Arif Dar - 209-255 Foreign direct investment and regional economic development in Russia: an econometric assessment
by Ichiro Iwasaki & Keiko Suganuma - 257-279 Oil rents and economic growth in oil producing countries: evidence from a macro panel
by José Fuinhas & António Marques & Alcino Couto - 281-304 On the contribution of information and communication technology to productivity growth in Australia
by Md Shahiduzzaman & Allan Layton & Khorshed Alam
May 2015, Volume 48, Issue 2
- 93-117 The effects of exchange-rate volatility on industry trade between the US and Egypt
by Mohsen Bahmani-Oskooee & Scott Hegerty & Amr Hosny - 119-135 Nexus between electricity consumption and economic growth: a study of Gibraltar
by Ronald Kumar & Peter Stauvermann & Arvind Patel - 137-167 Exchange rate movements and manufacturing employment in Tunisia: Do different categories of firms react similarly?
by Mourad Zmami & Ousama Ben-Salha - 169-185 Welfare gains from the adoption of proportional taxation in a general-equilibrium model with a grey economy: the case of Bulgaria’s 2008 flat tax reform
by Aleksandar Vasilev
February 2015, Volume 48, Issue 1
- 1-35 Structural breaks and twin deficits hypothesis in African countries
by Ahmad Ahmad & Olalekan Aworinde - 37-69 Female employment in MENA’s manufacturing sector: the implications of firm-related and national factors
by Ali Fakih & Pascal Ghazalian - 71-91 Subnational level fiscal health in India: stability and sustainability implications
by Nimai Das
November 2014, Volume 47, Issue 4
- 251-274 The forecasting performance of implied volatility index: evidence from India VIX
by Imlak Shaikh & Puja Padhi - 275-298 Economic freedom and economic growth in India: What is the empirical relationship?
by Falguni Pattanaik & Narayan Nayak - 299-319 Financial development and economic growth in India: some evidence from non-linear causality analysis
by Md Nain & Bandi Kamaiah - 321-339 Is foreign direct investment good for the poor? New evidence from African countries
by Babajide Fowowe & Mohammed Shuaibu
August 2014, Volume 47, Issue 3
- 155-186 Nonlinear convergence in Asian interest and inflation rates: evidence from Asian countries
by Khalid Kisswani & Salah Nusair - 187-226 World gone wrong: the financial crisis, labor market transitions and earnings in Serbia
by Niels-Hugo Blunch & Victor Sulla - 227-250 Is there J-Curve effect in the commodity trade between Korea and rest of the world?
by Mohsen Bahmani-Oskooee & Ruixin Zhang
May 2014, Volume 47, Issue 2
- 89-115 On the finance-growth nexus: additional evidence from Central and Eastern Europe countries
by Edoardo Gaffeo & Petya Garalova - 117-133 Revisiting Purchasing Power Parity for India using threshold cointegration and nonlinear unit root test
by Aviral Tiwari & Muhammad Shahbaz - 135-154 Export diversification and the S-curve effect in a resource-rich state: evidence from Azerbaijan
by Mohsen Bahmani-Oskooee & Rustam Jamilov
February 2014, Volume 47, Issue 1
- 1-39 A small macro econometric model for Kazakhstan: a retrospective of alternative economic policies undertaken during the transition process
by Gilles Dufrenot & Adelya Ospanova & Alain Sand-Zantman - 41-62 Real interest rate persistence in South Africa: evidence and implications
by Sonali Das & Rangan Gupta & Patrick Kanda & Monique Reid & Christian Tipoy & Mulatu Zerihun - 63-87 An empirical testing of informational efficiency in Bangladesh capital market
by Mohammad Joarder & Monir Ahmed & Tahsina Haque & Syed Hasanuzzaman
November 2013, Volume 46, Issue 4
- 341-362 What determines public health expenditures in Pakistan? Role of income, urbanization and unemployment
by Faisal Abbas & Ulrich Hiemenz - 363-384 Productivity and openness: firm level evidence in Brazilian manufacturing industries
by Wenjun Liu & Shoji Nishijima - 385-397 Oil prices and economic activity in Greece
by Evangelia Papapetrou
August 2013, Volume 46, Issue 3
- 277-297 MERCOSUR enlargement: predicting the effects on trade in primary agricultural commodities
by Pascal Ghazalian - 299-319 The determinants of current account imbalances in the euro area: a panel estimation approach
by Sophocles Brissimis & George Hondroyiannis & Christos Papazoglou & Nicholas Tsaveas & Melina Vasardani - 321-339 Does higher level of education of the labor force cause growth? Evidence from Bulgaria
by Mariya Neycheva
May 2013, Volume 46, Issue 2
- 143-182 Banking reforms and the evolution of cost efficiency in Indian public sector banks
by Sunil Kumar - 183-202 Do R&D strategies in high-tech sectors differ from those in low-tech sectors? An alternative approach to testing the pooling assumption
by Bettina Becker & Stephen Hall - 203-217 On the stability of the solutions of an impulsive Solow model with endogenous population
by I. Stamova & A. Stamov - 219-253 A VECM evaluation of monetary transmission in Uzbekistan
by Frank Hespeler - 255-275 (In)Efficiency of matching: the case of a post-transition economy
by Joanna Tyrowicz & Tomasz Jeruzalski
March 2013, Volume 46, Issue 1
- 1-7 Special issue on China: Re-thinking China’s economic transition and development in the post-crisis era
by Roberta Benini & He Liping - 9-24 China’s growth adjustment: moderation and structural changes
by Gang Fan & Liping He & Xiaoyun Wei & Liyan Han - 25-43 From foreign trade to international investment: a new step in China’s integration with the world economy
by Françoise Lemoine - 45-69 Production networks in China and India: a comparative analysis
by K. Fung & Hsiang-Chih Hwang & Francis Ng & Jesus Seade - 71-84 Convertibility as a step for the RMB internationalization
by Haihong Gao - 85-108 Accumulation of large foreign reserves in China: a behavioural perspective
by Zhichao Zhang & Frankie Chau & Li Xie - 109-141 The evolution of China’s social policies
by Richard Herd
November 2012, Volume 45, Issue 4
- 247-269 A Bayesian stochastic frontier: an application to agricultural productivity growth in European countries
by A. Tonini - 271-297 Explicit inflation targets and central bank independence: friends or foes?
by Andrew Hallett & Jan Libich - 299-316 Is devaluation contractionary? Empirical evidence for Pakistan
by Muhammad Shahbaz & Faridul Islam & Naveed Aamir - 317-336 An empirical study of openness and convergence in labor productivity in the Chinese provinces
by Yanqing Jiang - 337-358 Market structure, performance, and efficiency of the Chinese banking sector
by Qichang Ye & Zongling Xu & Dan Fang
August 2012, Volume 45, Issue 3
- 135-155 Monetary transmission and the financial sector in the Czech Republic
by Tomáš Havránek & Roman Horváth & Jakub Matějů - 157-191 State ownership and control in the Czech Republic
by Evžen Kočenda & Jan Hanousek - 193-220 Re-examining the saving-investment nexus: threshold cointegration and causality evidence from the ECOWAS
by Loesse Esso - 221-246 Nonlinear adjustment of Asian real exchange rates
by Salah Nusair
February 2012, Volume 45, Issue 1
- 1-2 Introduction to the special issue in honour of Wojciech Charemza
by Stephen Hall & Dan Ladley - 3-23 Measurement of causal effects
by P. Swamy & Stephen Hall - 25-44 Financial crisis, effective policy rules and bounded rationality in a New Keynesian framework
by Ali Al-Eyd & Stephen Hall - 45-70 Does one size fit all? Modelling macroeconomic linkages in the West African Economic and Monetary Union
by David Fielding & Kevin Lee & Kalvinder Shields - 71-95 Current account determinants and external sustainability in periods of structural change
by Sophocles Brissimis & George Hondroyiannis & Christos Papazoglou & Nicholas Tsaveas & Melina Vasardani - 97-119 Regulatory induced herding? Evidence from Polish pension funds
by Zbigniew Kominek - 121-133 Price-wage nexus and the role of a tax system
by Michał Majsterek & Aleksander Welfe
November 2011, Volume 44, Issue 4
- 279-295 Property rights and farm efficiency: evidence from Ukraine
by Leonid Krasnozhon - 297-334 Probability of default models of Russian banks
by Anatoly Peresetsky & Alexandr Karminsky & Sergei Golovan - 335-355 Labor force participation in the Soviet and post-Soviet Baltic States
by Kenneth Smith - 357-368 A note on intermediate imports and the BPCG model in Mexico
by Carlos Ibarra
August 2011, Volume 44, Issue 3
- 179-202 Socioeconomic gradients in self-rated health: a developing country case study of Enugu State, Nigeria
by H. Eme Ichoku & William Fonta & Michael Thiede - 203-219 Economic growth and government spending in Malaysia: a re-examination of Wagner and Keynesian views
by V. Chandran Govindaraju & Ramesh Rao & Sajid Anwar - 221-241 The efficacy of the Egyptian bank reform plan in mitigating the impact of the global financial crisis
by Monal Abdel-Baki - 243-277 The Dutch Disease: evidences from Russia
by Bernardina Algieri
April 2011, Volume 44, Issue 1
- 1-5 Southern growth engines and technology giants: introduction
by Amelia Santos-Paulino & Guanghua Wan - 7-24 Brazil’s growth performance: a comparative perspective to the Asian giants
by Nader Nazmi & Julio Revilla - 25-47 Structural change, technology, and economic growth: Brazil and the CIBS in a comparative perspective
by Mario Cimoli & Wellington Pereira & Gabriel Porcile & Fábio Scatolin - 49-73 Innovation capacity and economic development: China and India
by Peilei Fan - 75-97 Trade specialization, export productivity and growth in Brazil, China, India, South Africa, and a cross section of countries
by Amelia Santos-Paulino - 99-134 Export diversification and economic performance: evidence from Brazil, China, India and South Africa
by Wim Naudé & Riaan Rossouw - 135-147 China’s exports in information communication technology and its impact on Asian countries
by Yuqing Xing - 149-177 International integration and the determinants of regional development in China
by T. Gries & M. Redlin
November 2010, Volume 43, Issue 4
- 253-273 Differential inflation, Phillips curves, and price competitiveness in a new euro-member country
by Marjan Senjur - 275-302 Analysis of energy consumption and indicators of energy use in Bangladesh
by Joarder Munim & Md. Hakim & Md. Abdullah-Al-Mamun - 303-322 Money-price relation in Malaysia: has it disappeared or strengthened?
by Mansor Ibrahim
August 2010, Volume 43, Issue 3
- 187-204 Has the SARB become more effective post inflation targeting?
by Rangan Gupta & Alain Kabundi & Mampho Modise - 205-219 Finance-investment-growth nexus in South Africa: an ARDL-bounds testing procedure
by Nicholas Odhiambo - 221-251 Trade credit in China in the early 1990s
by Maho Shiraishi & Go Yano
May 2010, Volume 43, Issue 2
- 95-112 Economic vulnerability and poverty in Tajikistan
by Raghbendra Jha & Tu Dang & Yusuf Tashrifov - 113-130 Financial development and inequality: Brazil 1985–1994
by Manoel Bittencourt - 131-150 Private returns to education in urban China
by Tian Qiu & John Hudson - 151-185 Youth labour market performance in European regions
by Cristiano Perugini & Marcello Signorelli
February 2010, Volume 43, Issue 1
- 1-19 Efficiency impacts of the Chinese industrial transition: a quantitative evaluation of reforms in the coal industry
by Xunpeng Shi & R. Grafton - 21-43 Analysis of current account reversals via regime switching models
by Christian Aßmann & Jens Boysen-Hogrefe - 45-63 Keeping up with revolutions: evolution of higher education in Uzbekistan
by Toshtemir Majidov & Dipak Ghosh & Kobil Ruziev - 65-94 The effects of factor and sector biased technical change revisited
by Robert Stehrer
November 2009, Volume 42, Issue 4
- 229-262 Information-based trade in Russia and the effects of listing abroad
by Marco Wölfle - 263-271 Business surveys and inflation forecasting in China
by Juuso Kaaresvirta & Aaron Mehrotra - 273-291 Foreign direct investment and the volume of trade: the case of Poland
by Andrzej Cieślik - 293-318 Financial development policies in Uzbekistan: an analysis of achievements and failures
by Alexandr Akimov & Brian Dollery - 319-343 The size of the SOE sector and macroeconomic performance: an empirical study based on Chinese provincial data
by Xianfeng Huang & Ping Li & Richard Lotspeich
August 2009, Volume 42, Issue 3
- 139-158 Is there a displacement deadweight loss from tax evasion? Estimates using firm surveys from the Czech Republic
by Jan Hanousek & Filip Palda - 159-187 European Union economic growth and the age structure of the population
by Thomas Lindh & Bo Malmberg - 189-209 Determinants of turnover intentions among Chinese off farm migrants
by Russell Smyth & Qingguo Zhai & Xiaoxu Li - 211-228 The effect of EU structural funds on regional growth: assessing the evidence from Greece, 1990–2005
by Sarantis Lolos
May 2009, Volume 42, Issue 1
- 1-24 Trade relations between an enlarged EU and the Russian Federation, and its effects in Belarus
by Irina Tochitskaya & Lúcio Vinhas de Souza - 25-46 Regional integration and free-trade agreements in the Balkans: opportunities, obstacles and policy issues
by Will Bartlett - 47-68 Regional integration in Central Asia
by Richard Pomfret - 69-83 The challenge of economic integration in the MENA region: from GAFTA and EU-MFTA to small scale Arab Unions
by Alessandro Romagnoli & Luisa Mengoni - 85-103 From unilateral liberalization to regional free trade agreements: a Latin America perspective
by Patricio Meller - 105-137 A comparative analysis of trade and economic integration in East Asia and Latin America
by Nathalie Aminian & K. Fung & Francis Ng
December 2008, Volume 41, Issue 4
- 267-287 Regionalism and multilateralism: crucial issues in the debate on RTAs
by Roberta Benini & Michael Plummer - 289-313 Regionalization in East Asia
by Michel Fouquin - 315-330 Effect of China’s rise on East Asian economic integration
by Liqing Zhang & Zhixian Sun - 331-344 Characteristics and prospects for East Asian economic integration: a Korean perspective
by Chang Lee - 345-367 The political economy of regional integration in East Asia
by Françoise Nicolas - 369-382 Global dollar standard: challenges for Asian financial integration
by H. Gao
September 2008, Volume 41, Issue 3
- 187-207 The limited job prospects of displaced workers: evidence from two cities in China
by Gordon Betcherman & Niels-Hugo Blunch - 209-219 The Czech transition banking sector instability: the role of operational cost management
by Anca Pruteanu-Podpiera & Jiří Podpiera - 221-238 Analyzing trade opening in Ukraine: effects of a customs union with the EU
by Oksana Harbuzyuk & Stefan Lutz - 239-265 The removal of institutional impediments to migration and its impact on employment, production and income distribution in China
by Junichi Ito
June 2008, Volume 41, Issue 2
- 97-124 Can underemployment persist in an expanding economy? Clues from a non-Walrasian OLG model with endogenous longevity
by Gregory Ponthiere - 125-141 Asymmetric cointegration relationship among Asian exchange rates
by Shu-Chen Chang - 143-153 The profitability life-cycle of direct investment: an international panel study
by Filip Novotný & Jiří Podpiera - 155-166 Evidence on gender wage differentials in Greece
by Evangelia Papapetrou - 167-186 Potential of the state to control privatized firms
by Jan Hanousek & Evžen Kočenda
March 2008, Volume 41, Issue 1
- 1-28 Sustainable fiscal policies and budgetary risk under alternative monetary policy arrangements
by Andrew Hughes Hallett - 29-59 Child malnutrition and mortality in China and Vietnam in a comparative perspective
by Francesco Schettino & Alberto Gabriele