Content
November 2019, Volume 46, Issue 4
- 669-690 English skills, labour market status and earnings of Turkish women
by Antonio Paolo & Aysit Tansel - 691-711 The wage premium from foreign language skills
by Jacek Liwiński - 713-740 Foreign language skills and employment status of European natives: evidence from Germany, Italy and Spain
by Michele Gazzola & Daniele Mazzacani - 741-766 The impact of multilingualism on host language acquisition
by Santiago Budría & Pablo Swedberg - 767-795 The complexity of knowledge sharing in multilingual corporations: evidence from agent-based simulations
by Marco Civico - 797-798 Martin Feldstein (1939–2019)
by Karl Aiginger & Robert Holzmann
August 2019, Volume 46, Issue 3
- 409-411 Special issue: 100th anniversary of the Austrian Economic Association and the Future of Health Care Systems
by Hansjörg Klausinger & Michael Kuhn & Alexia Prskawetz & Bernhard Rengs - 413-421 Equity, opportunity and health
by Andrew M. Jones - 423-442 Child mental health and cognitive development: evidence from the West Bank
by Hendrik Jürges & Alexandra Schwarz & Sorel Cahan & Ziad Abdeen - 443-469 Fair prices for medicines? Exploring competent authorities’ and public payers’ preferences on pharmaceutical policies
by Sabine Vogler - 471-486 The burden of morbidity, productivity and earnings
by Florian Endel & Jürgen Holl & Michael Wagner-Pinter - 487-503 The Nationalökonomische Gesellschaft from its foundation to the postwar period: prosperity and depression
by Hansjörg Klausinger - 505-517 Economics in Austria from 1945 to today
by Ewald Nowotny - 519-535 Three outstanding NOeG presentations: Morgenstern, Viner, and Menger on the laws of costs and returns
by Christian Gehrke - 537-546 Perpetrators and victims: Austrian economists under the Nazis
by Reinhard Neck - 547-576 Eliciting permanent and transitory undeclared work from matched administrative and survey data
by Péter Elek & János Köllő - 577-595 Who benefits from euro depreciation in the euro zone?
by Mohsen Bahmani-Oskooee & Amirhossein Mohammadian - 597-616 Unit labour costs and the dynamics of output and unemployment in the southern European crisis countries
by Juan Carlos Cuestas & Javier Ordóñez & Karsten Staehr
May 2019, Volume 46, Issue 2
- 205-227 Empirical modelling of survey-based expectations for the design of economic indicators in five European regions
by Oscar Claveria & Enric Monte & Salvador Torra - 229-248 The strong increase of Austrian government debt in the Kreisky era: Austro-Keynesianism or just stubborn forecast errors?
by Florian Brugger & Jörn Kleinert - 249-304 Exploring changes in the employment structure and wage inequality in Western Europe using the unconditional quantile regression
by Rosalia Castellano & Gaetano Musella & Gennaro Punzo - 305-326 Unemployment insurance in unionized labor markets with mobile workers: neither Ghent nor centralized
by David Saha & Ronnie Schöb - 327-351 Persistence of profits in the EU: how competitive are EU member countries?
by Johan E. Eklund & Emma Lappi - 353-368 The impact of US uncertainty on the Euro area in good and bad times: evidence from a quantile structural vector autoregressive model
by Rangan Gupta & Chi Keung Marco Lau & Mark E. Wohar - 369-380 The decline in investment shares is not caused by falling relative prices of capital: a note
by Leon Podkaminer - 381-408 Getting a lot out of a little bit of work? The effects of marginal employment during unemployment
by Rainer Eppel & Helmut Mahringer
February 2019, Volume 46, Issue 1
- 1-3 Editorial
by Peter Huber & Dieter Pennerstorfer - 5-29 Migration’s inability to alleviate regional disparities: the grass is still greener on the other side of the fence
by Lorenz Benedikt Fischer - 31-59 Social capital and willingness to migrate in post-communist countries
by Peter Huber & Stepan Mikula - 61-61 Correction to: Social capital and willingness to migrate in post-communist countries
by Peter Huber & Stepan Mikula - 63-101 Household decision making on commuting and the commuting paradox
by Georg Hirte & Ulrike Illmann - 103-150 Guide to the galaxy of EU regional funds recipients: evidence from new data
by Julia Bachtrögler & Christoph Hammer & Wolf Heinrich Reuter & Florian Schwendinger - 151-175 Exports of firms and diversity: an empirical assessment for Germany
by Stephan Brunow & Luise Pestel & Mark Partridge - 177-203 Urban sprawl and local fiscal burden: analysing the Spanish case
by Laura Varela-Candamio & Fernando Rubiera Morollón & Gohar Sedrakyan
November 2018, Volume 45, Issue 4
- 639-653 No buck for the bang: revisiting the military-growth nexus
by Serhan Cevik & John Ricco - 655-683 Towards a multidimensional poverty index for Germany
by Nicolai Suppa - 685-706 How did the Sovereign debt crisis affect the Euro financial integration? A fractional cointegration approach
by José Carlos Vides & Antonio A. Golpe & Jesús Iglesias - 707-745 A quantitative explanation of the low productivity in South–Eastern European economies: the role of misallocations
by Petre Caraiani - 747-763 Monetary policy implications of short-term capital flows in Turkey
by Tolga Dağlaroğlu & Baki Demirel & Syed F. Mahmud - 765-799 Macroeconomic outcomes, collective bargaining and intersectoral productivity differentials: a panel approach
by Evangelia Papapetrou & Pinelopi Tsalaporta - 801-820 Testing the great decoupling: a long memory approach
by Luis A. Gil-Alana & Marinko Skare - 821-847 Inside Europe: human capital and economic growth revisited
by Sara Barcenilla-Visús & Carmen López-Pueyo
August 2018, Volume 45, Issue 3
- 425-455 Malaysia-EU trade at the industry level: Is there an asymmetric response to exchange rate volatility?
by Mohsen Bahmani-Oskooee & Muhammad Aftab - 457-487 Regime dependent volatilities and correlation in international securitized real estate markets
by Kim Hiang Liow & Qing Ye - 489-505 Costs of a missing FTA: the case of Turkey and Algeria
by N. Nergiz Dincer & Ayça Tekin-Koru & Pinar Yaşar - 507-542 Trade liberalization gains under different trade theories: a case study for Ukraine
by Zoryana Olekseyuk & Edward J. Balistreri - 543-557 Government spending and revenues in Sweden 1722–2011: evidence from hidden cointegration
by Manuchehr Irandoust - 559-585 Assessing the stochastic stability of public debt: the case of Austria
by Maximilian Goedl & Christoph Zwick - 587-605 Assessing and predicting financial vulnerability of Italian households: a micro-macro approach
by Alessandra Bettocchi & Elena Giarda & Cristiana Moriconi & Federica Orsini & Rita Romeo - 607-638 Tax competition and the political economy of public employment: a model for Austria
by Michael Christl & Monika Köppl–Turyna
May 2018, Volume 45, Issue 2
- 215-246 Structural differences across macroregions: an empirical investigation
by Laura Barbieri & Chiara Mussida - 247-260 R&D spillovers and employment: evidence from European patent data
by Massimiliano Agovino & Luigi Aldieri & Antonio Garofalo & Concetto Paolo Vinci - 261-282 Consumer confidence as a GDP determinant in New EU Member States: a view from a time-varying perspective
by Petar Sorić - 283-309 What explains indirect exports of goods and services in Eastern Europe and Central Asia?
by Inmaculada Martínez-Zarzoso & Florian Johannsen - 311-337 Power laws in EU country exports
by Ignacio Rosal - 339-365 Competition in the Portuguese economy: insights from a profit elasticity approach
by João Amador & Ana Cristina Soares - 367-393 Intergenerational occupational dynamics before and during the recent crisis in Spain
by Antonio Caparrós Ruiz - 395-408 ‘Old’ Europe’s wage dynamics and trade imbalances: Is there a link?
by Leon Podkaminer - 409-424 Beyond Balassa and Samuelson: real convergence, capital flows, and competitiveness in Greece
by Ansgar Belke & Ulrich Haskamp & Gunther Schnabl
February 2018, Volume 45, Issue 1
- 1-15 The impact of the financial crisis on the long-range memory of European corporate bond and stock markets
by Lisana B. Martinez & M. Belén Guercio & Aurelio Fernandez Bariviera & Antonio Terceño - 17-28 The pyramid of Okun’s coefficient for Italy
by Luca Zanin - 29-47 Did Baltic stock markets offer diversification benefits during the recent financial turmoil? Novel evidence from a nonparametric causality-in-quantiles test
by Vassilios Babalos & Mehmet Balcilar & Tumisang B. Loate & Shingie Chisoro - 49-57 Does tourism cause growth asymmetrically in a panel of G-7 countries? A short note
by Abdulnasser Hatemi-J & Rangan Gupta & Axel Kasongo & Thabo Mboweni & Ndivhuho Netshitenzhe - 59-82 Is there a trade-off between procyclicality and revisions in EC trend TFP estimations?
by Susanne Maidorn - 83-128 Determinants of specific trade concerns raised on technical barriers to trade EU versus non-EU
by M. Mahdi Ghodsi - 129-163 The effects of offshoring to low-wage countries on domestic wages: a worldwide industrial analysis
by Joanna Wolszczak-Derlacz & Aleksandra Parteka - 165-185 The non-linear impact of monetary policy on international reserves: macroeconomic variables nexus
by Po-Chin Wu & Chung-Chih Lee - 187-196 Revisiting purchasing power parity in G6 countries: an application of smooth time-varying cointegration approach
by Jingfei Wu & Mohsen Bahmani-Oskooee & Tsangyao Chang - 197-213 Performance of inflation targeting in retrospect
by Nezir Kose & Yeliz Yalcin & Eray Yucel
November 2017, Volume 44, Issue 4
- 609-613 Reform needs and options in the EU system of own resources
by Alexander Hudetz & Ann Mumford & Danuse Nerudová & Margit Schratzenstaller - 615-633 Institutions and the route to reform of the European Union’s budget revenue, 1970–2017
by Giacomo Benedetto - 635-663 Analysis and quantification of a new fiscally neutral European tax
by Mikuláš Luptáčik & Peter Luptáčik - 665-686 Sustainability-oriented tax-based own resources for the European Union: a European carbon-based flight ticket tax
by Alexander Krenek & Margit Schratzenstaller - 687-731 Sustainability-oriented future EU funding: a financial transaction tax
by Veronika Solilová & Danuše Nerudová & Marian Dobranschi - 733-780 Post-crisis credit slowdown in South-East Europe: return to normality?
by Branimir Jovanovic & Egzona Hani & Ljupka Georgievska - 781-805 Effects of collective minimum wages on youth employment in Austria
by Michael Christl & Monika Köppl-Turyna & Dénes Kucsera
August 2017, Volume 44, Issue 3
- 405-406 Economic policy in a dynamic environment
by Martin Kahanec & Mikuláš Luptáčik & Philipp Schmidt-Dengler - 407-434 The economic impact of east–west migration on the European Union
by Martin Kahanec & Mariola Pytliková - 435-463 Employment polarization and over-education in Germany, Spain, Sweden and UK
by Sudipa Sarkar - 465-486 Labour supply in Austria: an assessment of recent developments and the effects of a tax reform
by Sandra Müllbacher & Wolfgang Nagl - 487-508 The importance of foreign language skills in the labour markets of Central and Eastern Europe: assessment based on data from online job portals
by Brian Fabo & Miroslav Beblavý & Karolien Lenaerts - 509-527 Oligarchs and social capital in Russian regions: a quantitative assessment
by Lidwina Gundacker & Jarko Fidrmuc - 529-546 Expected downside risk and asset prices: characteristics of emerging and developed European markets
by Mihály Ormos & Dusán Timotity - 547-566 Empirical evidence on growth and business cycles
by Martin Zagler - 567-584 Monetary policy independence reconsidered: evidence from six non-euro members of the European Union
by Hubert Gabrisch - 585-607 Re-examining the ECB’s two-pillar monetary policy strategy: Are there any deviations during and the pre-financial crisis periods?
by Ahmad Hassan Ahmad & Stephen Brown
May 2017, Volume 44, Issue 2
- 203-227 Verifying time inconsistency of the ECB monetary policy by means of a regime-switching approach
by Andrea Beccarini - 229-248 Measuring trade specialization dynamics: the case of Romania and Bulgaria
by Irina Marilena Ban - 249-260 Wavelet quantile analysis of asymmetric pricing on the Swedish power market
by Hyunjoo Kim Karlsson & Peter Karlsson & Kristofer Månsson & Pär Sjölander - 261-293 Understanding inflation dynamics in the Euro Area: deviants and commonalities across member countries
by Johanna Amberger & Ralf Fendel - 295-337 The impact of the financial system on economic growth in the context of the global crisis: empirical evidence for the EU and OECD countries
by Mariusz Prochniak & Katarzyna Wasiak - 339-365 Asymmetric effects of exchange rate changes on the Malaysia-EU trade: evidence from industry data
by Mohsen Bahmani-Oskooee & Muhammad Aftab - 367-381 Size matters: fragmentation and vertical fiscal imbalances in Moldova
by Serhan Cevik - 383-404 One-person enterprises and the phenomenon of hybrid self-employment: evidence from an empirical study
by Dieter Bögenhold & Andrea Klinglmair
February 2017, Volume 44, Issue 1
- 1-27 The predictive ability of a risk-adjusted yield spread for economic activity in Europe
by Alfred Guender & Bernard Tolan - 29-57 “Thirlwall’s Law” reconsidered
by Leon Podkaminer - 59-89 Does the presence of high-skilled employees increase total and high-skilled employment in the long run? Evidence from Austria
by Sascha Sardadvar & Christian Reiner - 91-120 Re-examining the real interest rate parity hypothesis (RIPH) using panel unit root tests with asymmetry and cross-section dependence
by Ayşegül Çorakcı & Furkan Emirmahmutoglu & Tolga Omay - 121-146 International stock return predictability: Is the role of U.S. time-varying?
by Goodness C. Aye & Mehmet Balcilar & Rangan Gupta - 147-174 Do professional forecasters behave as if they believed in the New Keynesian Phillips Curve for the euro area?
by Víctor López-Pérez - 175-201 The relationship between population growth and standard-of-living growth over 1870–2013: evidence from a bootstrapped panel Granger causality test
by Tsangyao Chang & Hsiao-Ping Chu & Frederick W. Deale & Rangan Gupta & Stephen M. Miller
November 2016, Volume 43, Issue 4
- 657-660 Special Issue: Challenges for Europe 2050: Selected papers of the EUROFRAME Conference 2015 and the WWWforEurope Project
by Michael Böheim & Harald Oberhofer - 661-691 Origins of reform resistance and the Southern European regime
by Friedrich Heinemann & Theocharis Grigoriadis - 693-727 Where does EU money eventually go? The distribution of CAP expenditure across the European space
by A. Bonfiglio & B. Camaioni & S. Coderoni & R. Esposti & F. Pagliacci & F. Sotte - 729-756 The “sugar rush” from innovation subsidies: a robust political economy perspective
by Anders Gustafsson & Andreas Stephan & Alice Hallman & Nils Karlsson - 757-800 The effects of education and aging in an OLG model: long-run growth in France, Germany and Italy
by Michele Catalano & Emilia Pezzolla - 801-829 Structural change and global value chains in the EU
by Roman Stöllinger - 831-858 Social investment: A guiding principle for welfare state adjustment after the crisis?
by Thomas Leoni
May 2016, Volume 43, Issue 2
- 215-217 The future of the European Economic and Monetary Union: European monetary and fiscal policies
by Reinhard Neck - 219-233 The eurozone financial crisis: debt, credit ratings and monetary and fiscal policy
by Michael Wickens - 235-256 Monetary policies to counter the zero interest rate: an overview of research
by Seppo Honkapohja - 257-278 The perils of debt deflation in the Euro area: a multi regime model
by Willi Semmler & Alexander Haider - 279-298 Shadow short rate and monetary policy in the Euro area
by Milan Damjanović & Igor Masten - 299-331 The impact of inheritances on the retirement behavior of older Europeans
by Andreas Eder - 333-347 United we stand: on the macroeconomics of a Fiscal union
by Reinhard Neck & Dmitri Blueschke - 349-390 Exchange rate bands of inaction and play-hysteresis in Greek exports to the Euro Area, the US and Turkey: sectoral evidence
by Ansgar Belke & Dominik Kronen - 391-413 Trade implications of the Euro in EMU countries: a panel gravity analysis
by Mohd Hussain Kunroo & Irfan Ahmad Sofi & Naushad Ali Azad - 415-444 Combining country-specific forecasts when forecasting Euro area macroeconomic aggregates
by Jing Zeng
February 2016, Volume 43, Issue 1
- 1-35 Macroeconomic variables and the sovereign risk premia in EMU, non-EMU EU, and developed countries
by Arkady Gevorkyan & Willi Semmler - 37-59 POLONIA dynamics during the years 2006–2012 and the effectiveness of the monetary Policy of the National Bank of Poland
by Agata Kliber & Paweł Kliber & Piotr Płuciennik & Małgorzata Piwnicka - 61-82 On the empirical relevance of the Lucas critique: the case of euro area money demand
by Christian Dreger & Jürgen Wolters - 83-109 Economic performance, government size, and institutional quality
by António Afonso & João Jalles - 111-139 Innovation behaviour of firms in a small open economy: the case of the Czech manufacturing industry
by Marek Vokoun - 141-165 “New” monetary policy instruments and exchange rate volatility
by Cüneyt Akar & Serkan Çiçek - 167-196 The study of public debt: which are the distinctions between the emerging and advanced economies in the European Union?
by Andreea Stoian & Filip Iorgulescu - 197-213 Contagion across Eurozone’s sovereign spreads and the Core-Periphery divide
by Elisabetta Croci Angelini & Francesco Farina & Enzo Valentini
November 2015, Volume 42, Issue 4
- 685-708 Development of stock market pricing in Central and Eastern Europe through two decades after the transition
by Gábor Bóta & Mihály Ormos - 709-735 Carbon dioxide reducing environmental innovations, sector upstream/downstream integration and policy: evidence from the EU
by Massimiliano Mazzanti & Giovanni Marin & Susanna Mancinelli & Francesco Nicolli - 737-746 Determining the asymmetric effects of oil price changes on macroeconomic variables: a case study of Turkey
by Yeliz Yalcin & Cengiz Arikan & Furkan Emirmahmutoglu - 747-767 The transmission of foreign shocks to South Eastern European economies
by Goran Petrevski & Jane Bogoev & Dragan Tevdovski - 769-793 New evidence on the determinants of current accounts in the EU
by Agnieszka Gehringer - 795-811 The effects of global monetary policy and Greek debt crisis on the dynamic conditional correlations of currency markets
by Costas Karfakis & Theodore Panagiotidis - 813-824 The effects of capital inflows on Turkish macroeconomic performance
by M. Berument & Zulal Denaux & Furkan Emirmahmutoglu - 825-844 Central East European Countries’ accession into the European Union: role of extensive margin for trade in intermediate and final goods
by Inmaculada Martinez-Zarzoso & Anca Voicu & Martina Vidovic - 845-864 On the size and determinants of inter-regional redistribution in European countries over the period 1995–2009
by Santiago Lago-Peñas & Albino Prada & Alberto Vaquero - 865-895 New figures on unfunded public pension entitlements across Europe: concept, results and applications
by Klaus Kaier & Christoph Müller
August 2015, Volume 42, Issue 3
- 481-498 Testing stock market convergence: a non-linear factor approach
by Guglielmo Caporale & Burcu Erdogan & Vladimir Kuzin - 499-520 Monetary policy and sovereign debt: Does the ECB take the eurozone’s fiscal risks into account?
by Andrew Hughes Hallett & John Lewis - 521-546 Sustainability of local government debt: a case study of Austrian municipalities
by Johann Bröthaler & Michael Getzner & Gottfried Haber - 547-569 A hysteresis model-based indicator for employment adjustment rigidity
by Paulo Mota & José Varejão & Paulo Vasconcelos - 571-595 Euro area financial shocks and economic activity in The Netherlands
by Jürgen Antony & D. Broer - 597-613 Non-linearity, persistence and spillover effects in stock returns: the role of the volatility index
by Po-Chin Wu & Sheng-Chieh Pan & Xue-Ling Tai - 615-641 Disentangling different patterns of business cycle synchronicity in the EU regions
by Ageliki Anagnostou & Ioannis Panteladis & Maria Tsiapa - 643-672 Financial integration, push factors and volatility of capital flows: evidence from EU new member states
by Tomislav Globan - 673-683 Impulse response analysis and Orcutt’s hypothesis in trade
by Mohsen Bahmani-Oskooee & Esmaeil Ebadi
May 2015, Volume 42, Issue 2
- 205-209 Special Issue: The Economics of Inequality
by Wilfried Altzinger & Giacomo Corneo & Agnes Kügler - 211-223 Can we reduce income inequality in OECD countries?
by Anthony Atkinson - 225-239 Income inequality from a lifetime perspective
by Giacomo Corneo - 241-268 Capital income shares and income inequality in 16 EU member countries
by Eva Schlenker & Kai Schmid - 269-289 Socioeconomic structures of the Austrian wealth distribution
by Stefan Humer & Mathias Moser & Matthias Schnetzer - 291-322 Factor decomposition of the wealth distribution in the euro area
by Peter Lindner - 323-370 Who holds risky assets and how much?
by Jun Zhan - 371-390 Income and wealth inequality after the financial crisis: the case of Germany
by Markus Grabka - 391-412 Inequality and household debt: a panel cointegration analysis
by Mathias Klein - 413-445 Gender in intergenerational educational persistence across time and place
by Alyssa Schneebaum & Bernhard Rumplmaier & Wilfried Altzinger - 447-479 Income distribution and political participation: a multilevel analysis
by Lorenzo Cicatiello & Salvatore Ercolano & Giuseppe Gaeta
February 2015, Volume 42, Issue 1
- 1-24 Commodity trade between EU and Egypt and Orcutt’s hypothesis
by Mohsen Bahmani-Oskooee & Amr Hosny - 25-48 Which factors affect the distribution of direct payments among farmers in the EU Member States?
by S. Severini & A. Tantari - 49-76 Decomposing wage discrimination in Germany and Austria with counterfactual densities
by Thomas Grandner & Dieter Gstach - 77-107 Regime dependent dynamics and European stock markets: Is asset allocation really possible?
by Wasim Ahmad & N. Bhanumurthy & Sanjay Sehgal - 109-129 Exchange-rate volatility and commodity trade between the E.U. and Egypt: evidence from 59 industries
by Mohsen Bahmani-Oskooee & Scott Hegerty & Amr Hosny - 131-155 Access to finance, exporting and a non-monotonic firm expansion
by Jože Damijan & Črt Kostevc & Sašo Polanec - 157-183 Price and non-price competitiveness in export demand: empirical evidence from Italy
by Bernardina Algieri - 185-203 Financial market reaction to Federal Reserve communications: Does the global financial crisis make a difference?
by Bernd Hayo & Ali Kutan & Matthias Neuenkirch
November 2014, Volume 41, Issue 4
- 589-617 Rethinking the import-productivity nexus for Italian manufacturing
by Giuliano Conti & Alessia Lo Turco & Daniela Maggioni - 619-640 The determinants of vulnerability to currency crises: country-specific factors versus regional factors
by Ping Wang & Tomoe Moore - 641-662 Do Balkan economies catch up with EU? New evidence from panel unit root analysis
by Eftychia Tsanana & Constantinos Katrakilidis - 663-686 Generational accounts for Belgium: fiscal sustainability at a glance
by André Decoster & Xavier Flawinne & Pieter Vanleenhove - 687-712 Discretionary fiscal policy and economic activity in Greece
by Athanasios Tagkalakis - 713-729 Nonlinear relationship between health care expenditure and its determinants: a panel smooth transition regression model
by Po-Chin Wu & Shiao-Yen Liu & Sheng-Chieh Pan - 731-746 Total factor productivity in the Lithuanian family farms after accession to the EU: application of the bias-corrected Malmquist indices
by Tomas Baležentis - 747-775 Import-push or export-pull? An industry-level analysis of the impact of trade on firm exit
by Ina Jäkel - 777-801 Output growth and investment dynamics in Finland: a panel data analysis
by Tahir Mahmood & Eatzaz Ahmad - 803-820 Who trusts others more? A cross-European study
by Giuseppe Albanese & Guido Blasio - 821-847 A longer-run perspective on fiscal sustainability
by António Afonso & João Jalles
August 2014, Volume 41, Issue 3
- 377-380 Special issue: Selected papers of the WWWforEurope conference on modelling growth and socio-ecological transition, Vienna, 2013
by Margit Schratzenstaller & Teresa Weiss & Sigrid Stix - 381-405 A simple model of income, aggregate demand and the process of credit creation by private banks
by Giovanni Bernardo & Emanuele Campiglio - 407-424 Data envelopment analysis for measuring economic growth in terms of welfare beyond GDP
by M. Lábaj & M. Luptáčik & E. Nežinský - 425-444 Modeling the diffusion of general purpose technologies in an evolutionary multi-sector framework
by A. Rainer & R. Strohmaier - 445-465 A low growth path in Austria: potential causes, consequences and policy options
by Andrea Stocker & Anett Großmann & Friedrich Hinterberger & Marc Wolter - 467-480 Logistics performance and export competitiveness: European experience
by Rosa Puertas & Luisa Martí & Leandro García - 481-504 A financial market stress indicator for Austria
by Christian Glocker & Serguei Kaniovski - 505-540 A general equilibrium evaluation of the fiscal costs of trade liberalization in Ukraine
by Miriam Frey & Zoryana Olekseyuk - 541-575 Does integration and economic policy coordination promote business cycle synchronization in the EU?
by N. Antonakakis & G. Tondl - 577-587 Institutions of conflict management and economic growth revisited: a short note
by Friedrich Schneider & Stefan Haigner & Stefan Jenewein & Florian Wakolbinger
May 2014, Volume 41, Issue 2
- 127-127 Special issue: European Integration: Quo Vadis? Selected Papers from the 2013 Annual Meeting of the Austrian Economic Association
by Michael Pfaffermayr & Johann Scharler - 129-151 Convergence as a heterogeneous process: what can be learnt about convergence in EMU from regional experiences?
by Matthias Firgo & Peter Huber - 153-175 “Haircuts” for the EMU periphery: virtue or vice?
by Reinhard Neck & Dmitri Blueschke - 177-222 The effect of currency unions on business cycle correlations: the EMU case
by Styliani Christodoulopoulou - 223-246 International trade, technological change and wage inequality in the UK economy
by Sabine Engelmann - 247-271 The fundamentals of sovereign debt sustainability: evidence from 15 OECD countries
by Christian Schoder - 273-286 Was Spanish fiscal policy sustainable?
by Ulrich Haskamp - 287-321 Is the European integration speeding up the economic convergence process of the Central and South-Eastern European countries? A shock perspective
by Igor Veličkovski & Aleksandar Stojkov - 323-363 Growth effects of structural reforms in Southern Europe: the case of Greece, Italy, Spain and Portugal
by Janos Varga & Werner Roeger & Jan in’t Veld - 365-376 Government spending and revenues in the Greek economy: evidence from nonlinear cointegration
by Athanasios Athanasenas & Constantinos Katrakilidis & Emmanouil Trachanas
February 2014, Volume 41, Issue 1
- 1-3 Special issue: Selected papers of the 31st CIRECT conference, Vienna, 2012
by Christian Glocker & Gerhard Schwarz - 5-21 Price competition and market transparency: evidence from a random response technique
by Klaus Friesenbichler & George Clarke & Michael Wong - 23-36 A micro-based non-inflationary rate of capacity utilisation as a measure of inflationary pressure: evidence for Austria
by Pirmin Fessler & Fabio Rumler & Gerhard Schwarz