Content
November 2024, Volume 51, Issue 4
- 877-912 Intergroup cooperation in the lab: asymmetric power relations and redistributive policies
by Kerstin Mitterbacher & Stefan Palan & Jürgen Fleiß - 913-927 Data privacy regulation and cross-border e-commerce
by Jing Yan - 929-975 How does the national e-commerce demonstration city pilot policy boost economic growth? Evidence from China
by Yun Yang & Feng Hao & Xingchen Meng - 977-1000 Analyzing the differential effects of COVID-19 on export flows: a focus on customs procedures
by Omer Faruk Derindag & Zaim Reha Yasar & Caglayan Aslan & Salih Parmaksiz - 1001-1036 The excess profits during COVID-19 and their tax revenue potential
by Evgeniya Dubinina & Javier Garcia-Bernardo & Petr Janský - 1037-1073 From 2008–2011 Great Recession to COVID-19 pandemic: an analysis of resilience metrics in European regions
by Bogdan-Vasile Ileanu & Adrian Pana - 1075-1104 The varying impact of COVID-19 in the Spanish Labor Market
by Guillermo Cabanillas-Jiménez & Yannis Galanakis - 1105-1130 Labor market outcomes during opposite resource shocks: the 2009 and 2012 earthquakes in Italy
by Andrea Bernini
August 2024, Volume 51, Issue 3
- 583-618 The impact of artificial intelligence in the early retirement decision
by Pablo Casas & Concepción Román - 619-643 Consumption convergence: theory and evidence
by Hakan Yetkiner & Gamze Öztürk & Bahar Taş - 645-678 What matters for the economic synchronization of the Baltic States
by Rima Rubčinskaitė & Laimutė Urbšienė - 679-702 The impact of measured income uncertainty on Spanish household consumption at the end of the Great Recession
by Alba Lugilde - 703-730 Household debt and financial vulnerability: empirical evidence for Spain, 2002–2020
by Juan Ignacio Martín-Legendre & José Manuel Sánchez-Santos - 731-753 Drivers of European housing prices in the new millennium: demand, financial, and supply determinants
by Ales Melecky & Daniel Paksi - 755-781 The non-linear impact of monetary policy on shifts in economic policy uncertainty: evidence from the United States of America
by Bogdan Dima & Ștefana Maria Dima - 783-805 Performance and investment styles of international multi-asset funds during market crises
by Paulo Leite - 807-828 Agglomeration economies and firm’s export intensity: evidence from Portuguese manufacturing SMEs
by Rosa Forte & Ana Medeiros - 829-876 Environmental regulations and firms’ integration in global markets: using a new environmental performance index
by Rafael Duarte Lisboa Paschoaleto & Inmaculada Martínez-Zarzoso
May 2024, Volume 51, Issue 2
- 313-349 Fairness, expectations and life satisfaction: evidence from Europe
by Daphne Nicolitsas - 351-377 European highways and the geographic diffusion of economic activities from agglomerations to less urbanised areas
by Augustin Ignatov - 379-402 Transmission channels of the cohesion policy: direct and indirect effects on EA synchronicity
by Lubica Stiblarova - 403-423 Income inequality, economic openness and current account imbalances in new EU member states
by Boris Cota & Nataša Erjavec & Saša Jakšić - 425-458 No more tears without tiers? The impact of indirect settlement on liquidity use in TARGET2
by Jan Paulick & Ron Berndsen & Martin Diehl & Ronald Heijmans - 459-479 Positive and negative health events and trust
by Hamza Umer & Yanjun Li - 481-499 The response of small firms to VAT incentive: evidence from South Korea
by Dawoon Jung - 501-528 Debiasing the availability heuristic in student loan decision-making
by Manuel Salas-Velasco - 529-558 Time-varying effects of the COVID-19 pandemic on stock markets and economic activity: evidence from the US and Europe
by Guglielmo Maria Caporale & Abdurrahman Nazif Çatık & Mohamad Husam Helmi & Coşkun Akdeniz & Ali İlhan - 559-582 Expected inflation and interest-rate dynamics in the COVID era: evidence from the time–frequency domain
by Mihai Ioan Mutascu & Scott W. Hegerty
February 2024, Volume 51, Issue 1
- 1-33 Home-based work, time allocations, and subjective well-being: gender differences in the United Kingdom
by José Ignacio Giménez-Nadal & Jorge Velilla - 35-60 Covid-19 and altruism: a meta-analysis of dictator games
by Hamza Umer - 61-86 COVID-19 and public support for the Euro
by Felix Roth & Lars Jonung & Aisada Most - 87-125 Can we all be Denmark? The role of civic attitudes in welfare state reforms
by Andrea Celico & Martin Rode - 127-160 Government spending efficiency in Latin America
by António Afonso & Gabriela Baquero Fraga - 161-183 Private and public debt convergence: a fractional cointegration approach
by Maria Malmierca-Ordoqui & Luis A. Gil-Alana & Lorenzo Bermejo - 185-207 Aim high, shoot low? Product complexity and export survival in Latvia
by Konstantīns Beņkovskis & Peter Jarrett & Ze’ev Krill & Oļegs Tkačevs & Naomitsu Yashiro - 209-262 Employment protection and labour productivity growth in the EU: skill-specific effects during and after the Great Recession
by Igor Fedotenkov & Virmantas Kvedaras & Miguel Sanchez-Martinez - 263-281 Corruption as a push and pull factor of migration flows: evidence from European countries
by Andrea Bernini & Laurent Bossavie & Daniel Garrote-Sánchez & Mattia Makovec - 283-312 Inflation targeting and disinflation costs in Emerging Market economies
by Martin Stojanovikj & Goran Petrevski
November 2023, Volume 50, Issue 4
- 849-851 Special Issue: Challenges in the Post Pandemic Economy—Selected Papers of the 2022 Annual Meeting of the Austrian Economic Association
by Brigitte Hochmuth & Paul Pichler - 853-881 Dealing with the COVID-19 pandemic in Slovenia: simulations with a macroeconometric model
by Klaus Weyerstrass & Dmitri Blueschke & Reinhard Neck & Miroslav Verbič - 883-897 Industry-mix effects at different levels of sectoral disaggregation: a decomposition of inter-country differences in energy costs
by Wolfgang Koller & Andreas Eder & Bernhard Mahlberg - 899-931 Long run non-linearity in CO2 emissions: the I(2) cointegration model and the environmental Kuznets curve
by Bjørnar Karlsen Kivedal - 933-941 A note on CO2 emissions using two new tests
by Peter Sephton & Tolga Omay - 943-983 Effect of the duration of membership in the GATT/WTO on human development in developed and developing countries
by Sèna Kimm Gnangnon - 985-1024 A meta-analysis of the multiplier effects of the money supply on prices
by Bui Dieu Thao Nguyen - 1025-1054 Sovereign risk connectedness: the impact of ECB’s policy announcements in Central and Eastern Europe
by C. Ciocirlan & M. Nițoi - 1055-1095 Determinants of bail-in debt yields in the EU banking sector: a multi-country approach with idiosyncratic factors
by Manuel Monjas & María Rocamora & Nuria Suárez
August 2023, Volume 50, Issue 3
- 585-623 The impact of COVID-19 on the European short-term rental market
by E. Guglielminetti & M. Loberto & A. Mistretta - 625-655 Monetary policy responses to COVID-19 in emerging European economies: measuring the QE announcement effects on foreign exchange markets
by Idil Uz Akdogan - 657-694 Wage inequality dynamics in Turkey
by Ozan Bakis & Sezgin Polat - 695-724 Productive capacity and international competitiveness: evidence from Latin America and Caribbean countries
by Néstor Adrián Le Clech - 725-754 Family firms, political connections, and R&D activities in Eastern European Countries
by Mariarosaria Agostino & Cristiana Donati & Sabrina Ruberto - 755-782 Deficit sustainability and fiscal theory of price level: the case of Italy, 1861–2020
by Emilio Congregado & Carmen Díaz-Roldán & Vicente Esteve - 783-805 Government debt: the impact of fiscal rules at the European and national level
by Robert Kraemer & Jonne Lehtimäki - 807-847 Economic complexity and environmental pollution: evidence from the former socialist transition countries
by Florian Bucher & Lucas Scheu & Benedikt Schröpf
May 2023, Volume 50, Issue 2
- 289-299 Has the Russian invasion of Ukraine reinforced anti-globalization sentiment in Austria?
by Jerg Gutmann & Hans Pitlik & Andrea Fronaschütz - 301-321 Gender wage gap, quality of earnings and gender digital divide in the European context
by Xose Picatoste & Anabela Mesquita & Fernando González-Laxe - 323-350 The future of employment revisited: how model selection affects digitization risks
by Hanno Lorenz & Fabian Stephany & Jan Kluge - 351-387 German labor market reform and the rise of Eastern Europe: dissecting their effects on employment
by Timo Walter - 389-410 Voluntary labour supply by birth cohort: empirical evidence from Germany
by Marcus Dittrich & Bianka Mey - 411-439 Growing by outsourcing: a tale of two growths
by Sasan Bakhtiari - 441-479 The trade effects of product market regulation in global value chains: evidence from OECD and BRICS countries between 2000 and 2015
by Moritz Böhmecke-Schwafert & Knut Blind - 481-521 Financial and economic uncertainties and their effects on the economy
by Ines Fortin & Jaroslava Hlouskova & Leopold Sögner - 523-549 Housing price uncertainty and housing prices in the UK in a time-varying environment
by Mehmet Balcilar & Gizem Uzuner & Festus Victor Bekun & Mark E. Wohar - 551-583 Financial cycles in Europe: dynamics, synchronicity and implications for business cycles and macroeconomic imbalances
by Amat Adarov
February 2023, Volume 50, Issue 1
- 1-5 Conference on European Economic Integration (CEEI) 2021: Recalibrating tomorrow’s global value chains – prospects for CESEE
by Robert Holzmann & Tomáš Slačík & Julia Wörz - 7-33 Assessing the importance of risky products in international trade and global value chains
by Oliver Reiter & Robert Stehrer - 35-73 Transition of the automotive industry towards electric vehicle production in the east European integrated periphery
by Petr Pavlínek - 75-108 Cutting through the value chain: the long-run effects of decoupling the East from the West
by Gabriel Felbermayr & Hendrik Mahlkow & Alexander Sandkamp - 109-140 Predictors of TFP growth in European countries
by Jan Kluge & Sarah Lappöhn & Kerstin Plank - 141-172 Estimating market power for the European manufacturing industry between 2000 and 2014
by Adrián Rodríguez Valle & Esteban Fernández-Vázquez - 173-206 Fiscal policies in the Federation of Bosnia and Herzegovina: are spending or revenue measures more effective?
by Klaus Weyerstrass & Rijad Kovac - 207-236 Beyond the Covid-19 pandemic: remote learning and education inequalities
by Luca Bonacini & Marina Murat - 237-253 Economic and behavioral determinants of forced household savings during the COVID-19 pandemic
by Jakub Borowski & Krystian Jaworski - 255-287 Stability of pro-sociality and trust amid the Covid-19: panel data from the Netherlands
by Hamza Umer
November 2022, Volume 49, Issue 4
- 897-948 Language learning: human capital investment or consumption?
by Matthias Huber & Ann-Marie Sommerfeld & Silke Uebelmesser - 949-990 Global natural projections
by Michele Catalano & Emilia Pezzolla - 991-1008 Fiscal sustainability and low interest rates: what an indicator can(’t) tell
by Martin Werding - 1009-1030 Sustainability gap of public debt: importance of interest rates and a new decomposition with premia
by Elmar Dönnebrink & Nils Grevenbrock - 1031-1062 The European structural and investment funds and public investment in the EU countries
by Karsten Staehr & Katri Urke - 1063-1088 Economy 4.0: employment effects by occupation, industry, and gender
by Andreas Eder & Wolfgang Koller & Bernhard Mahlberg - 1089-1122 Dynamics of the public-debt-to-gdp ratio: can it explain the risk premium of treasury bonds?
by Sérgio C. Lagoa & Emanuel R. Leão & Diptes P. Bhimjee - 1123-1151 Meeting investor outflows in Czech bond and equity funds: horizontal or vertical?
by Milan Szabo - 1153-1187 Synchronization and cyclicality of social spending in economic crises
by Luis Ayala-Cañón & María Jesús Delgado-Rodríguez & Sonia De Lucas-Santos - 1189-1189 Correction: Language learning: human capital investment or consumption?
by Matthias Huber & Ann‑Marie Sommerfeld & Silke Uebelmesser
August 2022, Volume 49, Issue 3
- 573-599 Measuring private transfers between generations and gender: an application of national transfer accounts for Austria 2015
by Bernhard Hammer & Alexia Prskawetz - 601-626 See you soon: fixed-term contracts, unemployment and recalls in Germany—a linked employer–employee analysis
by Oskar Jost - 627-661 The nonlinear effect of financial literacy on wealth: evidence from Germany
by Jia Hou & Sebastian Schuler - 663-689 Ability to consume versus willingness to consume: the role of nonlinearities
by Petar Sorić - 691-719 Commuting time and sickness absence of US workers
by J. I. Gimenez-Nadal & J. A. Molina & J. Velilla - 721-740 Productivity surplus and its distribution in Lithuanian agriculture
by Tomas Balezentis & Vaida Sapolaite - 741-768 Trading Kuznets curve: empirical analysis for China
by Ercan Yasar & Güray Akalin & Sinan Erdogan & Samuel Asumadu Sarkodie - 769-792 Long-run dynamics between trade liberalization and income inequality in the European Union: a second generation approach
by Mert Akyuz & Ghislain Nono Gueye & Cagin Karul - 793-832 The effect of higher capital requirements on bank lending: the capital surplus matters
by Simona Malovaná & Dominika Ehrenbergerová - 833-896 Fiscal tensions and risk premium
by Piotr Ciżkowicz & Grzegorz Parosa & Andrzej Rzońca
May 2022, Volume 49, Issue 2
- 277-279 Special Issue: Sustainability, Work and Growth in the Context of SDG 8
by Sandra Bilek-Steindl & Claudia Kettner & Christine Mayrhuber - 281-311 From “Decent work and economic growth” to “Sustainable work and economic degrowth”: a new framework for SDG 8
by Halliki Kreinin & Ernest Aigner - 313-345 Nowcasting and monitoring SDG 8
by Sandra Bilek-Steindl & Thomas Url - 347-368 Greening work: labor market policies for the environment
by Katharina Bohnenberger - 369-404 Policy instruments and self-reported impacts of the adoption of energy saving technologies in the DACH region
by Michael Peneder & Spyros Arvanitis & Christian Rammer & Tobias Stucki & Martin Wörter - 405-438 How is the European Union progressing towards its Europe 2020 targets? A benefit-of-the-doubt window analysis
by Charlotte Wüst & Nicky Rogge - 439-460 The EU Structural Funds and trust in politicians: another unwanted outcome?
by Ivana Tomankova - 461-484 Competition effects in EU external aid supply tenders funded with the Pre-accession and Neighbourhood instruments
by Luis Mario García Lafuente & Asunción Mochón Sáez - 485-507 Euro usage in international trade amidst threats to multilateralism: evidence from Malawian imports
by Angella Faith Montfaucon - 509-535 Logistics infrastructure and export survival in European Union countries
by Kemal Türkcan & Socrates Kraido Majune - 537-571 Finance, growth and (macro)prudential policy: European evidence
by Martin Hodula & Ngoc Anh Ngo
February 2022, Volume 49, Issue 1
- 1-20 Fiscal risk sharing and redistribution between Austrian states
by Lukas Reiss - 21-52 Fiscal rules and volatility: the role of stabilising properties and compliance
by Wolf Heinrich Reuter & Oļegs Tkačevs & Kārlis Vilerts - 53-70 Determinants of substantial public debt reductions in Central and Eastern European Countries
by Sofia Semik & Lilli Zimmermann - 71-97 Supply constraints in a heterogenous agents household demand model: a method for assessing the direct impact of the COVID lockdown
by Kurt Kratena - 99-122 ESG performance and economic growth: a panel co-integration analysis
by Marc-Arthur Diaye & Sy-Hoa Ho & Rim Oueghlissi - 123-153 Inflation puzzles, the Phillips Curve and output expectations: new perspectives from the Euro Zone
by Giuliana Passamani & Alessandro Sardone & Roberto Tamborini - 155-187 Ownership structure and firm export performance: evidence from Slovenian microdata
by Črt Kostevc - 189-223 Export activities and the demand for skills in German businesses
by Arnd Kölling & Antje Mertens - 225-251 The economic development of regions in Ukraine: with tests on the territorial capital approach
by Michael Getzner & Serhiy Moroz - 253-275 GMO standards in South East Europe: assessing a GMO index within the process of EU integration
by Tatjana Brankov & Bojan Matkovski & Marija Jeremić & Stanislav Zekić
November 2021, Volume 48, Issue 4
- 803-843 About time: the narrowing gender wage gap in Austria
by René Böheim & Marian Fink & Christine Zulehner - 845-874 The effects of public expenditures on labour productivity in Europe
by Igor Fedotenkov & Rangan Gupta - 875-901 Is there really hysteresis in the OECD unemployment rates? New evidence using a Fourier panel unit root test
by Tolga Omay & Muhammad Shahbaz & Chris Stewart - 903-946 Smoothing the adjustment to trade liberalization
by Wolfgang Lechthaler & Mariya Mileva - 947-975 Market reaction to supranational banking supervision in Europe: Do firm- and country-specific factors matter?
by Myriam García-Olalla & Manuel Luna - 977-1008 On the informative value of the EU-wide stress tests and the determinants of banks’ stock return reactions
by D. Georgoutsos & G. Moratis - 1009-1028 Macroeconomic and bank-specific determinants of non-performing loans: the case of baltic states
by Jordan Kjosevski & Mihail Petkovski - 1029-1081 Asymmetric J-curve: evidence from UK-German commodity trade
by Mohsen Bahmani-Oskooee & Huseyin Karamelikli - 1083-1111 An alternative approach to the construction of multi-regional input–output tables of the Czech Republic: application of the CHARM method
by Marek Radvanský & Ivan Lichner - 1113-1129 The education pillar of the Europe 2020 strategy: a convergence analysis
by Juan Carlos Cuestas & Mercedes Monfort & Javier Ordóñez
August 2021, Volume 48, Issue 3
- 589-591 Special issue: Evidence based policy making—selected papers of the 2020 Annual Meeting of the Austrian Economic Association
by Jesus Crespo Cuaresma & Harald Oberhofer & Rupert Sausgruber - 593-610 Demand-side or supply-side stabilisation policies in a small euro area economy: a case study for Slovenia
by Reinhard Neck & Klaus Weyerstrass & Dmitri Blueschke & Miroslav Verbič - 611-644 On the new gold standard in EU trade integration: reviewing the EU-Japan EPA
by Julia Grübler & Oliver Reiter & Robert Stehrer - 645-660 Regional risk-sharing in Ukraine
by Jarko Fidrmuc & Serhiy Moroz & Fabian Reck - 661-696 Trapped in inactivity? Social assistance and labour supply in Austria
by Michael Christl & Silvia Poli - 697-716 Effect of privatisation on income inequality: a European analysis
by Noemí Peña-Miguel & Beatriz Cuadrado-Ballesteros - 717-741 Self-employment by gender in the EU: convergence and clusters
by João Ricardo Faria & Juan Carlos Cuestas & Luis Gil-Alana & Estefania Mourelle - 743-758 Fiscal decentralization and the performance of higher education institutions: the case of Europe
by Julien Jacqmin & Mathieu Lefebvre - 759-773 Central bank policy in a monetary union with heterogeneous member countries
by Gian Maria Tomat - 775-799 Exchange rate volatility and domestic investment in G7: are the effects asymmetric?
by Mohsen Bahmani-Oskooee & Jungho Baek - 801-802 Correction to: Labour market transitions, shocks and institutions in turbulent times: a cross-country analysis
by Ronald Bachmann & Rahel Felder
May 2021, Volume 48, Issue 2
- 279-281 The development of Empirica …. and its anchorman Fritz Breuss
by Christoph Badelt & Karl W. Steininger & Rudolf Winter-Ebmer - 283-327 Total factor productivity, its components and drivers
by Franz Haider & Robert Kunst & Franz Wirl - 329-352 Labour market transitions, shocks and institutions in turbulent times: a cross-country analysis
by Ronald Bachmann & Rahel Felder - 353-371 US and EU unconventional monetary policy spillover on BRICS financial markets: an event study
by Justinas Lubys & Pradiptarathi Panda - 373-395 Modelling sovereign debt ratings for sub-national governments: the case of Spain before and after the crisis
by Santiago José Pérez-Balsalobre & Carlos Llano-Verduras - 397-427 The dynamic effects of non-performing loans on banks’ cost of capital and lending supply in the Eurozone
by Gabriella Chiesa & José Manuel Mansilla-Fernández - 429-482 Exchange rate volatility and Turkey–EU commodity trade: an asymmetry analysis
by Mohsen Bahmani-Oskooee & Nazif Durmaz - 483-505 Uncertainty indicators based on expectations of business and consumer surveys
by Oscar Claveria - 507-532 Excise duties harmonisation and smoking in a model with cross-border arbitrage
by Saša Ranđelović & Milica Bisić - 533-558 Becoming member of the European Union: What is the relationship with the robbery rate?
by Aldo Pignataro - 559-587 The impact of the Brexit vote on UK financial markets: a synthetic control method approach
by Matej Opatrny
February 2021, Volume 48, Issue 1
- 1-3 Digital transformation
by Jörn Kleinert - 5-36 Industry 4.0–the future of Austrian jobs
by Peter Haiss & Bernhard Mahlberg & Daniel Michlits - 37-63 Measuring and explaining productivity growth of renewable energy producers: An empirical study of Austrian biogas plants
by Andreas Eder & Bernhard Mahlberg & Bernhard Stürmer - 65-99 Ownership and purchase intention of crypto-assets: survey results
by Helmut Stix - 101-121 The long-run properties of the Kaldor–Verdoorn law: a bounds test approach to a panel of Central and East European (CEE) countries
by Hubert Gabrisch - 123-139 The appropriateness of the macroeconomic imbalance procedure for Central and Eastern European Countries
by Geraldine Dany-Knedlik & Martina Kämpfe & Tobias Knedlik - 141-153 Current account sustainability in Central and Eastern Europe: structural change and crisis
by Juan Carlos Cuestas & Mercedes Monfort - 155-179 Euro area reform preferences of Central and Eastern European economic experts
by Sebastian Blesse & Annika Havlik & Friedrich Heinemann - 181-221 Trade imbalances within the Euro Area: two regions, two demand regimes
by Giovanni Covi - 223-245 Shadow rates and spillovers across the Eurozone: a spatial dynamic panel model
by Cristiana Fiorelli & Alfredo Cartone & Matteo Foglia - 247-278 Divisia monetary aggregates for a heterogeneous euro area
by Maximilian C. Brill & Dieter Nautz & Lea Sieckmann
November 2020, Volume 47, Issue 4
- 699-731 Customer reactions to a webshop’s service quality
by Franz Hackl & Rudolf Winter-Ebmer - 733-756 Real exchange rate misalignments in CEECs: Have they hindered growth?
by Juan Carlos Cuestas & Estefanía Mourelle & Paulo José Regis - 757-792 Asymmetric cointegration and the J-curve: evidence from commodity trade between Turkey and EU
by Mohsen Bahmani-Oskooee & Nazif Durmaz - 793-834 Religion and economic development: new insights
by Unbreen Qayyum & Sohail Anjum & Samina Sabir - 835-861 Money and credit during normal times and house price booms: evidence from time-frequency analysis
by Maciej Ryczkowski - 863-884 Some new insights on economic convergence and growth in Central, Eastern, and Southeastern Europe
by Dimitar Eftimoski - 885-908 Creating Europe through culture? The impact of the European Song Contest on European identity
by Tom Coupe & Natalia Chaban - 909-928 An analysis of systemic risk in worldwide economic sentiment indices
by Thomas Lux & Duc Thi Luu & Boyan Yanovski - 929-947 Financial knowledge, attitude and behavior: evidence from the Austrian Survey of Financial Literacy
by Pirmin Fessler & Maria Silgoner & Rosa Weber - 949-989 Productivity patterns in Europe: adaptation of the Malmquist index to measuring group performance and productivity change over time
by Martin Boďa & Mariana Považanová
August 2020, Volume 47, Issue 3
- 453-473 Are future enlargement candidate countries converging with the EU?
by Christos Kollias & Petros Messis - 475-493 Human capital, technological progress and technology diffusion across Europe: education matters
by Tinatin Akhvlediani & Andrzej Cieślik - 495-521 One Troika fits all? Job crash, pro-market structural reform and austerity-driven therapy in Portugal
by Diogo Martins & Bruno Damásio - 523-542 Recent trends in wage inequality from an EU perspective: a tale of two convergences
by Carlos Vacas-Soriano & Enrique Fernández-Macías & Rafael Muñoz de Bustillo - 543-577 Intra-EMU and non-EMU, EU stock markets’ return spillover: evidence from ESDC
by Muhammad Owais Qarni & Saqib Gulzar - 579-610 The relevance of depreciation allowances as a fiscal policy instrument: A hybrid approach to CCCTB?
by Kunka Petkova & Alfons J. Weichenrieder - 611-641 A re-examination of growth and growth uncertainty relationship in a stochastic volatility in the mean model with time-varying parameters
by Mehmet Balcilar & Zeynel Abidin Ozdemir - 643-668 The decomposition of income inequality in the EU-28
by Stefan Kranzinger - 669-693 Is Austria’s economy locked-in in the CESEE region? Austria’s competitiveness at the micro-level
by Mahdi Ghodsi - 695-697 Andrew Jonathan Hughes Hallett (1947–2019)
by Fritz Breuss & Peter Mooslechner & Reinhard Neck
May 2020, Volume 47, Issue 2
- 205-243 Impact of banking sector development on insurance market-growth nexus: the study of Eurozone countries
by Saurav Dash & Rudra P. Pradhan & Rana P. Maradana & Kunal Gaurav & Manju Jayakumar - 245-265 Can supporting workplace insertions of unemployed recent graduates improve their long-term employability?
by Miroslav Štefánik & Katarína Karasová & Ivana Studená - 267-280 Fiscal policy and the real exchange rate: some evidence from Spain
by Oscar Bajo-Rubio & Burcu Berke & Vicente Esteve - 281-302 Income and wealth of euro area households in times of ultra-loose monetary policy: stylised facts from new national and financial accounts data
by Manuel Rupprecht - 303-341 Explaining the evolution of the Austrian implicit tax rate on labor from 1976 to 2016
by Lukas Reiss & Philip Schuster - 343-364 Does EU-accession affect domestic market structures and firm level productivity?
by Klaus S. Friesenbichler - 365-387 Quantifying uncertainty and identifying its impacts on the Turkish economy
by Saygin Sahinoz & Evren Erdogan Cosar - 389-409 Individual-level and family background determinants of young adults’ unemployment in Europe
by Ondřej Dvouletý & Martin Lukeš & Mihaela Vancea - 411-429 Is fiscal policy in the euro area Ricardian?
by Nikki Panjer & Leo Haan & Jan P. A. M. Jacobs - 431-451 Financial channels and economic activity in the euro area: a large-scale Bayesian VAR approach
by Narcissa Balta & Bořek Vašíček
February 2020, Volume 47, Issue 1
- 1-16 Brexit, the City of London, and the prospects for portfolio investment
by Barry Eichengreen & William Jungerman & Mingyang Liu - 17-52 Brexit: an economy-wide impact assessment on trade, immigration, and foreign direct investment
by Yaghoob Jafari & Wolfgang Britz - 53-81 The dynamic effects of fiscal consolidation episodes on income inequality: evidence for 17 OECD countries over 1978–2013
by Philipp Heimberger - 83-112 The shape of sovereign yield curve in an emerging economy: Do macroeconomic or external factors matter?
by Huseyin Ozturk - 113-146 Structure of capital flows and exchange rate: the case of Croatia
by Maja Bukovšak & Gorana Lukinić Čardić & Nina Pavić - 147-180 Euro area growth differentials: diverging and reinforcing factors in a Kaleckian SVAR approach
by Giovanni Covi - 181-204 Public finances in the EU-27: Are they sustainable?
by Juan Carlos Cuestas & Luis A. Gil-Alana & Laura Sauci
November 2019, Volume 46, Issue 4
- 617-623 Language skills, the labour market, and socioeconomic integration
by Michele Gazzola & Bengt-Arne Wickström & Torsten Templin - 625-652 The impact of host language proficiency on employment outcomes among immigrants in Spain
by Santiago Budría & Alberto Colino & Carlos Martínez de Ibarreta - 653-668 Daily dialect-speaking and wages among native Dutch speakers
by Yuxin Yao & Jan C. Ours