Content
October 2019, Volume 16, Issue 4
- 679-699 Impacts of exchange rate non-linearity on Brazilian foreign trade
by Lucas dos Santos Lourenço & Claudio Roberto Fóffano Vasconcelos - 701-719 On the co-movements among gold and other financial markets: a multivariate time-varying asymmetric approach
by Riadh Abed & Amna Zardoub
July 2019, Volume 16, Issue 3
- 463-465 Recent challenges of the European integration: an introduction
by Cândida Ferreira & Camélia Turcu - 467-488 The impact of regional trade agreements on European exports
by Zuzanna Studnicka & Wouter Thierie & Jan Van Hove - 489-509 The interaction between trade and FDI: The CEECs experience
by Claudiu Tiberiu Albulescu & Daniel Goyeau - 511-534 Human capital and productivity growth in a services economy: Some insights from the Portuguese case
by Marta C. N. Simões & Adelaide Duarte & João Sousa Andrade - 535-562 Lessons from the Strukturwandel in the Ruhrgebiet: turning Northern Greece into an industrial champion?
by Ansgar Belke & Nicos Christodoulakis & Daniel Gros
April 2019, Volume 16, Issue 2
- 269-291 The validity of Wagner’s Law in the United Kingdom during the Last Two Centuries
by Dimitrios Paparas & Christian Richter & Ioannis Kostakis - 293-333 Service trade restrictiveness and internationalisation of retail trade
by Andre Jungmittag - 335-356 Asymmetric impacts of foreign exchange rate on the demand for money in Turkey: new evidence from nonlinear ARDL
by Mouyad Alsamara & Zouhair Mrabet - 357-377 Expectation shocks and fiscal rules
by Dennis Wesselbaum - 379-396 The perceived benefits of the European Union standardization. An exploration according to firm size and firm capabilities
by Dendi Ramdani & Arjen Witteloostuijn & Johanna Vanderstraeten & Julie Hermans & Marcus Dejardin - 397-416 Saving and investment causality: implications for financial integration in transition countries of Eastern Europe
by Manuchehr Irandoust - 417-433 Central bank transparency and sovereign risk ratings: a panel data approach
by Gabriel Caldas Montes & Diego Silveira Pacheco Oliveira - 435-461 Political instability, ethnic fractionalization and economic growth
by Pooja Karnane & Michael A. Quinn
March 2019, Volume 16, Issue 1
- 1-4 Institutional changes and economic dynamics of international capital markets in the context of BREXIT
by Jürgen Jerger & Andrew Mullineux & Paul J. J. Welfens - 5-16 Outlook on UK-EU Brexit negotiations and possible economic risks
by Raj Badiani - 17-25 ‘Brexit’: ‘The City’ and EU capital markets
by Andy Mullineux - 27-30 Economic costs of Brexit
by Michael Heise & Ana Boata - 31-35 A Plea for an exit from Brexit and a second referendum
by Volker Clausen - 37-50 The international financial implications of Brexit
by Barry Eichengreen - 51-64 Brexit and macroprudential regulation: a DSGE perspective
by Jürgen Jerger & Jenny Körner - 65-102 The effects of Brexit on credit spreads: Evidence from UK and Eurozone corporate bond markets
by Samir Kadiric & Arthur Korus - 103-160 Lack of international risk management in BREXIT?
by Paul J. J. Welfens - 161-192 The impact of Brexit news on British pound exchange rates
by Arthur Korus & Kaan Celebi - 193-213 The UK’s banking FDI flows and Total British FDI: a dynamic BREXIT analysis
by Fabian J. Baier & Paul J. J. Welfens - 215-265 BREXIT perspectives: financial market dynamics, welfare aspects and problems from slower growth
by Paul J. J. Welfens & Tian Xiong - 267-267 Correction to: BREXIT perspectives: financial market dynamics, welfare aspects and problems from slower growth
by Paul J. J. Welfens & Tian Xiong
October 2018, Volume 15, Issue 4
- 705-707 Economic policy and market imperfections in an unstable economic and financial environment in Europe and the Middle East
by Christian Richter & Sandar Win - 709-725 Lessons from historical monetary unions - is the European monetary union making the same mistakes?
by John Ryan & John Loughlin - 727-742 Sociological challenges for Egypt’s development: 1981–2013
by Dina M. Yousri & Christian Richter - 743-759 What are the possible future research directions for bank’s credit risk assessment research? A systematic review of literature
by Sandar Win - 761-786 Dissecting long-run and short-run causalities between monetary policy and stock prices
by Ansgar Belke & Marcel Wiedmann - 787-802 A model of trade, task offshoring and social insurance
by Susanna Thede
July 2018, Volume 15, Issue 3
- 547-564 Exchange rate misalignment and total factor productivity growth in case of emerging market economies
by Vaseem Akram & Badri Narayan Rath - 565-586 The impacts of Information and Communications Technology (ICT) and E-commerce on bilateral trade flows
by Zhongwei Xing - 587-627 Ease of doing business and FDI in the ex-socialist countries
by Branimir Jovanovic & Biljana Jovanovic - 629-659 China and the great trade collapse: employment effects of falling exports to the EU and US
by David Kucera & Xiao Jiang - 661-682 Natural resource revenues: Effect on the pattern of domestic investments relative to international assets investments
by Salim Araji - 683-703 Unconventional monetary policy shocks in OECD countries: how important is the extent of policy uncertainty?
by Rangan Gupta & Charl Jooste
April 2018, Volume 15, Issue 2
- 255-259 Asset markets, financial intermediaries and growth in emerging markets and beyond
by Ansgar Belke & George Chortareas - 261-280 Net foreign asset positions and appreciation expectations on the Swiss franc and the Japanese Yen
by Sophia Latsos & Gunther Schnabl - 281-303 Real financial market exchange rate volatility and portfolio flows
by Valentyna Ozimkovska - 305-329 External balance sheets as countercyclical crisis buffers
by Joseph P. Joyce - 331-352 Emerging and small open economies, unconventional monetary policy and exchange rates – a survey
by Ansgar Belke & Christian Fahrholz - 353-371 Quantitative easing effects on commercial bank liability and government yields in UK: A threshold cointegration approach
by Stephanos Papadamou & Eleftherios Spyromitros & Nikolaos A. Kyriazis - 373-403 Public debt and economic growth – economic systems matter
by Markus Ahlborn & Rainer Schweickert - 405-428 Regional heterogeneity, the rise of public debt and monetary policy in post-bubble Japan: lessons for the EMU
by Raphael Fischer & Gunther Schnabl - 429-447 The impact of shadow banking on the implementation of Chinese monetary policy
by Tommaso Gabrieli & Keith Pilbeam & Bingxi Shi - 449-466 Spillovers of banking regulation: the effect of the German bank levy on the lending rates of regional banks and their local competitors
by Ulrich Haskamp - 467-481 A nonlinear pairwise approach for the convergence of UK regional house prices
by Eleni Kyriazakou & Theodore Panagiotidis - 483-499 Estimation of bubble dynamics in the Chinese real estate market: a State space model
by Tommaso Gabrieli & Keith Pilbeam & Tianyu Wang - 501-522 MERCOSUR in gravity: an accounting approach to analyzing its trade effects
by Frederik Stender - 523-545 Unilaterally removing implicit subsidies for maritime fuels
by Dirk Heine & Susanne Gäde
January 2018, Volume 15, Issue 1
- 1-19 Money to the people: a calculation of direct dividend payments in Africa
by Marcelo M. Giugale & Nga Thi Viet Nguyen - 21-67 Central bank transparency and inflation (volatility) – new evidence
by Christoph S. Weber - 69-87 Detecting positive effects of the ASEAN-China free trade agreement on foreign direct investment
by Qiaomin Li & Sholeh Maani - 89-115 India in the globalized economy : Growth spillovers & business cycle synchronization
by Dilip Nachane & Amlendu Dubey - 117-129 Impacts of globalization on tariff settings
by Masafumi Tsubuku - 131-157 Banking integration and monetary policy fragmentation in the eurozone
by Filippo Gori - 159-183 On imperfect competition and market distortions: the causes of corporate under-investment in energy and material efficiency
by Jun Rentschler & Raimund Bleischwitz & Florian Flachenecker - 185-213 Efficiency and transparency effects on Eastern European financial markets
by Giuseppe Galloppo & Victoria Paimanova - 215-253 Technology diffusion, international integration and participation in developing economies - a review of major concepts and findings
by T. Gries & R. Grundmann & I. Palnau & M. Redlin
October 2017, Volume 14, Issue 4
- 537-552 The economic impact of the Russian import ban: a CGE analysis
by Zornitsa Kutlina-Dimitrova - 553-578 Credit policy, real exchange rate volatility and moral hazard
by Simon Shui-Ming Wan - 579-599 Foreign direct investment under fiscal interdependence when policy is set unilaterally
by Luis Gautier - 601-624 The ‘Visible Hand’ of the ECB’s first quantitative easing
by Diego Valiante - 625-642 Do flexible exchange rates facilitate external adjustment? A dynamic approach with time-varying and asymmetric volatility
by Olivier Habimana - 643-660 International mobility of capital, wage indexation, and the cost of policy mistakes under ambiguity: a CGE evaluation
by Omar O. Chisari & Gustavo Ferro & Juan Pablo Vila Martínez - 661-689 The aggregate exports-GDP relation under the prism of infrequent trend breaks and multi-horizon causality
by Ioanna Konstantakopoulou - 691-700 On exchange-rate movements and gold-price fluctuations: evidence for gold-producing countries from a nonparametric causality-in-quantiles test
by Mehmet Balcilar & Rangan Gupta & Christian Pierdzioch - 701-722 The building up of new imbalances in China: the dilemma with ‘rebalancing’
by Helmut Wagner
July 2017, Volume 14, Issue 3
- 377-382 Resource efficiency, circular economy and sustainability dynamics in China and OECD countries
by Paul Welfens & Raimund Bleischwitz & Yong Geng - 383-407 Towards a circular economy: insights based on the development of the global ENGAGE-materials model and evidence for the iron and steel industry
by Matthew Winning & Alvaro Calzadilla & Raimund Bleischwitz & Victor Nechifor - 409-429 The innovation trajectory of eco-cement in the Netherlands: a co-evolution analysis
by René Kemp & Eva Barteková & Serdar Türkeli - 431-448 Innovation of renewable energy generation technologies at a regional level in China: a study based on patent data analysis
by Nan Yu - 449-480 Innovations for reaching the green sustainable development goals –where will they come from?
by Rainer Walz & Matthias Pfaff & Frank Marscheider-Weidemann & Simon Glöser-Chahoud - 481-499 Environmental motivations behind individuals’ energy efficiency investments and daily energy-saving behaviour: evidence from Germany, the Netherlands and Belgium
by Vladimir Udalov & Jens Perret & Veronique Vasseur - 501-516 What explains the intention to bring mobile phones for recycling? A study on university students in China and Germany
by Evgeniya Yushkova & Yunting Feng - 517-535 The ETS in China and Europe: dynamics, policy options and global sustainability perspectives
by Paul J. J. Welfens & Nan Yu & David Hanrahan & Yong Geng
April 2017, Volume 14, Issue 2
- 187-210 Oil price shocks and macroeconomic adjustments in oil-exporting countries
by Wee Chian Koh - 211-219 Intangible investments and international business cycles
by Guido Baldi & André Bodmer - 221-238 The transfer paradox in a pay-as-you-go pension system
by Kojun Hamada & Akihiko Kaneko & Mitsuyoshi Yanagihara - 239-261 The gravity of institutions in a resource-rich country: the case of Azerbaijan
by Ayaz Zeynalov - 263-291 Exchange rate volatility and commodity trade between the U.S. and the Philippines
by Mohsen Bahmani-Oskooee & Hanafiah Harvey - 293-351 Innovations, growth and participation in advanced economies - a review of major concepts and findings
by T. Gries & R. Grundmann & I. Palnau & M. Redlin - 353-375 Yield curve in India and its interactions with the US bond market
by Krishna Prasanna & Subramaniam Sowmya
January 2017, Volume 14, Issue 1
- 1-25 RCA indices, multinational production and the Ricardian trade model
by Kaveri Deb & William R. Hauk - 27-41 The evaluation of East Asian banks by considering economic and political conditions as well as country risk
by Alireza Tamadonnejad & Aisyah Abdul-Rahman & Mariani Abdul-Majid & Mansor Jusoh - 43-59 Real time uncertainty in fiscal planning and debt accumulation in the euro area
by Maritta Paloviita - 61-73 The pro-Russian conflict and its impact on stock returns in Russia and the Ukraine
by Manuel Hoffmann & Matthias Neuenkirch - 75-90 Impacts of common rules of origin on FTA utilization
by Kazunobu Hayakawa & Nuttawut Laksanapanyakul - 91-117 Exchange rate volatility and ASEAN-4’s trade flows: is there a third country effect?
by Abdorreza Soleymani & Soo Y. Chua & Abdul Fatah Che Hamat - 119-152 Assessing systemic risk and its determinants for advanced and major emerging economies: the case of ΔCoVaR
by Mikhail Stolbov - 153-165 Do global financial crises validate assertions of fractal market hypothesis?
by Arif Billah Dar & Niyati Bhanja & Aviral Kumar Tiwari - 167-185 The effect of real-time fiscal policy on sovereign interest rates in OECD countries
by Ernest Dautovic
October 2016, Volume 13, Issue 4
- 519-522 Editorial on the BREXIT Forum
by Paul J. J. Welfens - 523-530 Britain and Europe: what ways forward?
by Harold James - 531-537 Where does one start to make sense of Brexit?
by Cillian Ryan - 539-548 Cameron’s information disaster in the referendum of 2016: an exit from Brexit?
by P. J. J. Welfens - 549-561 Deriving the new quantity equation: an approach for a closed and an open economy
by Paul J. J. Welfens - 563-591 Volatility of industrial production growth and characteristics of optimal currency areas in EU-12 countries
by Valentyna Ozimkovska - 593-621 Is it really more dispersed?
by Dominic Quint - 623-640 A comparative analysis of monetary responses to global oil price changes: net oil producing vs. net oil consuming countries
by M-Ali Sotoudeh & Andrew C. Worthington - 641-668 Tracking the causes of eurozone external imbalances: new evidence and some policy implications
by Jose L. Diaz-Sanchez & Aristomene Varoudakis
July 2016, Volume 13, Issue 3
- 339-343 Exports, growth and financial stability in the euro area and beyond
by Ansgar Belke & Keith Pilbeam - 345-358 Macroeconomic adjustment programmes in the euro area: an overall assessment
by Cinzia Alcidi & Ansgar Belke & Alessandro Giovannini & Daniel Gros - 359-367 Determinants of economic growth revisited: is competitiveness and investment the solution for Greece?
by George M. Agiomirgianakis & George Sfakianakis & Fotini Voulgaris - 369-386 Identifying export opportunities for Greece
by Nikolaos C. Kanellopoulos & Georgia D. Skintzi - 387-409 On the macroeconomic determinants of the housing market in Greece: a VECM approach
by Theodore Panagiotidis & Panagiotis Printzis - 411-428 Measurement of the intensity of the reforms in professions and economic activities in Greece via a composite regulation index
by Ersi Athanassiou & Nikolaos C. Kanellopoulos & Roxani Karagiannis & Ioannis Katselidis & Agapi Kotsi - 429-450 Government activity and economic growth – one size fits All?
by Joscha Beckmann & Marek Endrichs & Rainer Schweickert - 451-466 The economic effects of the fair tax: analysis of results of a dynamic CGE model of the US economy
by Keshab Bhattarai & Jonathan Haughton & David G. Tuerck - 467-482 A multivariate analysis of United States and global real estate investment trusts
by Kyriaki Begiazi & Dimitrios Asteriou & Keith Pilbeam - 483-498 Bank-specific determinants of nonperforming assets of Indian banks
by Samaresh Bardhan & Vivekananda Mukherjee - 499-518 Modeling Russia’s exchange rate in the long-run
by Irina Dubova
January 2016, Volume 13, Issue 1
- 1-3 Overcoming the euro crisis: medium and long term economic perspective
by Werner Röger & Paul J. J. Welfens & Holger Wolf - 1-3 Overcoming the euro crisis: medium and long term economic perspective
by Werner Röger & Paul Welfens & Holger Wolf - 5-25 Youth unemployment in Europe – business cycle and institutional effects
by Hans Dietrich & Joachim Möller - 5-25 Youth unemployment in Europe – business cycle and institutional effects
by Hans Dietrich & Joachim Möller - 27-43 Medium term economic dynamics of the Euro Area
by K. Mc Morrow & F. Orlandi & R. Raciborski & W. Roeger & V. Vandermeulen & J. in’tVeld & L. Vogel - 27-43 Medium term economic dynamics of the Euro Area
by K. Mc Morrow & F. Orlandi & R. Raciborski & W. Roeger & V. Vandermeulen & J. in’tVeld & L. Vogel - 45-57 Currency boards as a path towards the Eurozone: lessons from the Baltics
by Holger Wolf - 45-57 Currency boards as a path towards the Eurozone: lessons from the Baltics
by Holger Wolf - 59-103 Overcoming the euro crisis and prospects for a political union
by Paul J. J. Welfens - 59-103 Overcoming the euro crisis and prospects for a political union
by Paul Welfens - 105-138 Macroeconomic effects of financial stress and the role of monetary policy: a VAR analysis for the euro area
by Manfred Kremer - 105-138 Macroeconomic effects of financial stress and the role of monetary policy: a VAR analysis for the euro area
by Manfred Kremer - 139-159 The debt brake in the eyes of the German population
by Bernd Hayo & Florian Neumeier - 161-176 Searching for the lender of last resort
by Holger Schmieding - 161-176 Searching for the lender of last resort
by Holger Schmieding
October 2015, Volume 12, Issue 4
- 437-467 Equitable and effective climate policy: Integrating less developed countries into a global climate agreement
by Lucas Bretschger & Alexandra Vinogradova - 469-496 Innovation, inequality and a golden rule for growth in an economy with Cobb-Douglas function and an R&D sector
by Paul Welfens - 497-507 Local country attributes and the emergence of high tech clusters
by Miki Malul & Amir Shoham - 509-520 Trade and cross hedging exchange rate risk
by Udo Broll & Kit Wong - 521-539 Fiscal policy, net exports, and the sectoral composition of output in Greece
by Athanasios Tagkalakis - 541-552 Monetary and debt-concerned fiscal policies interaction in monetary unions
by Pasquale Foresti - 553-569 Anatomy of international banking crises at the onset of the Great Recession
by Mikhail Stolbov - 571-571 RETRACTED ARTICLE: Polish employees’ intentions to migrate and views on cross-border labour mobility
by Piotr Zientara & Lech Kujawski
September 2015, Volume 12, Issue 3
- 337-338 Market interventions in times of financial crisis
by Christian Richter & David Duffy - 339-357 Is the sovereign debt market efficient? Evidence from the US and German sovereign debt markets
by Bachar Fakhry & Christian Richter - 359-374 Monetary policy and financial stability: what role for the interest rate?
by Cristina Badarau & Alexandra Popescu - 375-392 Monetary commitment and structural reforms: a dynamic panel analysis for transition economies
by Ansgar Belke & Lukas Vogel - 393-410 The financial crisis and its aftermath: the case of Ireland
by Bas van Aarle & Joris Tielens & Jan Van Hove - 411-436 Estimating the impact of higher capital requirements on the cost of equity: an empirical study of European banks
by Oana Toader
June 2015, Volume 12, Issue 2
- 163-173 Do wealthier households save more? The impact of the demographic factor
by Ansgar Belke & Christian Dreger & Richard Ochmann - 175-188 Hysteresis and import penetration with decreasing sunk entry costs
by Henry Aray - 189-203 Current account and fiscal imbalances in the Eurozone: Siamese twins in an asymmetrical currency union
by Rosaria Canale & Ugo Marani - 205-220 On the twin deficits hypothesis and the import intensity in transition countries
by Hubert Gabrisch - 221-237 Trade in ideas: outsourcing and knowledge spillovers
by Sebastian Benz & Mario Larch & Markus Zimmer - 239-256 The European Union’s immigration policy: a stalled form of the strategy of conflict?
by Maurizio Mistri & Gabriele Orcalli - 257-280 The impact of financial development on the upgrading of China’s export technical sophistication
by Yuan Fang & Guoda Gu & Hongyi Li - 281-307 The price-price Phillips curve in small open economies and monetary unions: theory and empirics
by Andrea Vaona - 309-335 Trade elasticities in transition countries
by Almira Buzaushina
March 2015, Volume 12, Issue 1
- 1-4 Macroeconomic and financial adjustment in globalised economies - The state-of-play
by Ansgar Belke & Keith Pilbeam - 5-20 Country adjustment to a ‘sudden stop’: does the euro make a difference?
by Daniel Gros & Cinzia Alcidi - 21-39 Job creation and job destruction in economic crisis at firm level: the case of Greek manufacturing sectors
by F. Voulgaris & G. Agiomirgianakis & T. Papadogonas - 41-57 Risk, ambiguity, and sovereign rating
by Paolo Caro - 59-74 The sectoral reallocation of government purchases as budgetary-neutral stabilisation tool: a model-based analysis
by Stefan Hohberger & Lukas Vogel & Bernhard Herz - 75-91 Monitoring household liquidity constraints across Europe: a panel approach
by Eva Schlenker & Robert Maderitsch - 93-106 The role of the Federal Reserve as an international lender of last resort during the 2007–2008 financial crisis
by Pierluigi Morelli & Giovanni Pittaluga & Elena Seghezza - 107-125 The role of non-price determinants for export demand
by Florian Verheyen - 127-142 Forecasting exchange rate volatility: GARCH models versus implied volatility forecasts
by Keith Pilbeam & Kjell Langeland - 143-161 The transmission of oil and food prices to consumer prices
by Ansgar Belke & Christian Dreger
December 2014, Volume 11, Issue 4
- 455-479 Determinants of software exports from India
by Bimal Sahoo & D. Nauriyal - 481-527 Issues of modern macroeconomics: new post-crisis perspectives on the world economy
by Paul Welfens - 529-548 The stability of German export demand equations – have German exports suffered from the strength of the euro?
by Florian Verheyen - 549-560 Volatility spillover between the RBI’s intervention and exchange rate
by Linkon Mondal - 561-574 Price and income elasticities: evidence from commodity trade between the U.S. and Egypt
by Mohsen Bahmani-Oskooee & Amr Hosny - 575-597 Nominal rigidity and some new evidence on the New Keynesian theory of the output-inflation tradeoff
by Rongrong Sun - 599-617 Explaining rising regionalism and failing multilateralism: consensus decision-making and expanding WTO membership
by Euan MacMillan - 619-638 Affiliates and parent employment through foreign direct investment: a study case of substitutability or complementarity
by Cesare Imbriani & Rosanna Pittiglio & Filippo Reganati
September 2014, Volume 11, Issue 3
- 277-291 Assessing the economic impacts of the EU-Singapore FTA with a dynamic general equilibrium model
by Zornitsa Kutlina-Dimitrova & Csilla Lakatos - 293-328 Transatlantic trade and investment partnership: sectoral and macroeconomic perspectives for Germany, the EU and the US
by Paul Welfens & Tony Irawan - 329-351 Testing for parameter stability in DSGE models. The cases of France, Germany, Italy, and Spain
by Jürgen Jerger & Oke Röhe - 353-370 Bilateral tariff rates in international trade: finished goods versus intermediate goods
by Kazunobu Hayakawa - 371-395 Till labor cost do us part
by Francesca Pancotto & Filippo Pericoli - 397-411 Sensitivity of fiscal-policy effects to policy coordination and business cycle conditions
by Matti Viren - 413-430 A simple model of an oil based global savings glut—the “China factor”and the OPEC cartel
by Ansgar Belke & Daniel Gros - 431-450 Pension reform with migration and mobile capital: is a Pareto improvement possible?
by Igor Fedotenkov & Lex Meijdam - 451-451 Change of editorial assistant
by Christian Pierdzioch & Christian Richter & Paul Welfens & Holger Wolf
February 2014, Volume 11, Issue 1
- 1-3 Regulatory issues in telecommunications and ICT-based dynamics in open economies: introduction
by Morten Falch & Günter Knieps & Stanisław Kubielas & Paul Welfens - 5-27 Information & communication technology and true real GDP: economic analysis and findings for selected countries
by Paul Welfens & Jens Perret - 29-47 The emergence of next generation internet users
by William Dutton & Grant Blank - 49-61 Google, Facebook, Amazon, eBay: Is the Internet driving competition or market monopolization?
by Justus Haucap & Ulrich Heimeshoff - 63-79 Regulatory fallacies in global telecommunications: the case of international mobile roaming
by Günter Knieps & Patrick Zenhäusern - 81-95 Regulation of international roaming data services within the EU
by Morten Falch & Reza Tadayoni - 97-114 ICT and economic development: comparing ASEAN member states
by Tony Irawan - 115-136 ICT modernization in Central and Eastern Europe: a Schumpeterian catching up perspective
by Stanisław Kubielas & Magdalena Olender-Skorek - 137-163 Does the internet generate economic growth, international trade, or both?
by Huub Meijers - 165-177 Impact of ICT on trade in different technology groups: analysis and implications
by Evgeniya Yushkova - 179-195 Telecommunications dynamics, output and employment
by Andre Jungmittag & Paul Welfens - 197-230 Dynamics in ICT cooperation networks in selected German ICT clusters
by Christian Schröder - 231-250 ICT investment and internationalization of the Russian economy
by Grigori Feiguine & Julia Solovjova - 251-259 Smart grids in the European energy sector
by Gero Bieser - 261-275 The need for more flexibility in the regulation of smart grids – stakeholder involvement
by Nele Friedrichsen & Christine Brandstätt & Gert Brunekreeft
December 2013, Volume 10, Issue 4
- 469-490 Monetary policy and real estate prices: a disaggregated analysis for Switzerland
by Michael Berlemann & Julia Freese - 491-519 Are immigrants really attracted to the welfare state? Evidence from OECD countries
by Aaron Jackson & David Ortmeyer & Michael Quinn