Content
December 2013, Volume 10, Issue 4
- 521-547 Economic performance and international trade engagement: the case of Portuguese manufacturing firms
by Armando Silva & Oscar Afonso & Ana Africano - 549-567 Special economic zones and growth in China and India: an empirical investigation
by Chee Leong - 569-582 Does foreign direct investment cause long run economic growth? Evidence from the Latin American and the Caribbean countries
by Olajide Oladipo - 583-612 On the institutional design of burden sharing when financing external border enforcement in the EU
by Claus-Jochen Haake & Tim Krieger & Steffen Minter - 613-629 Export behavior of German SMEs in the Eurozone
by Kenan Bagci - 631-648 Institutionalisation without internalisation. The cultural dimension of French-German conflicts on European Central Bank independence
by Femke Esch & Eelke Jong
September 2013, Volume 10, Issue 3
- 317-321 Economic developments in a globalized world
by Elias Soukiazis - 323-347 Labour costs dynamics in the Euro area: some empirical evidence
by Sofia Gouveia & Leonida Correia - 349-363 A closer look at the world business cycle synchronization
by Pedro Cerqueira - 365-391 Bank market concentration and bank efficiency in the European Union: a panel Granger causality approach
by Cândida Ferreira - 393-404 Innovations in return transmission and performance comparison between the five biggest Euro area stock markets
by José Soares da Fonseca - 405-425 Exchange rate pass-through: evidence from the Syrian economy
by Mouyad Al Samara & Cindy Moons & Jan Hove - 427-451 A regional perspective on inequality and growth in Portugal using panel cointegration analysis
by Marta Simões & João Andrade & Adelaide Duarte - 453-468 Oil and gold price dynamics in a multivariate cointegration framework
by Joscha Beckmann & Robert Czudaj
June 2013, Volume 10, Issue 2
- 159-181 Demand patterns and Canada’s trade in services
by C. Wernerheim & M. Waples - 183-200 The trade balance effects of infrastructure services regulation
by Omar Chisari & Antonio Estache & Germán Lambardi & Carlos Romero - 201-215 Economic integration and the foreign exchange
by Enzo Weber - 217-245 Transmission mechanisms of real stochastic shocks in a small open economy
by Eduardo Giménez & José Martín-Moreno - 247-275 Do trade and investment agreements lead to more FDI? Accounting for key provisions inside the black box
by Axel Berger & Matthias Busse & Peter Nunnenkamp & Martin Roy - 277-296 Central bank communication and correlation between financial markets: Canada and the United States
by Melanie-Kristin Beck & Bernd Hayo & Matthias Neuenkirch - 297-315 Money demand in the euro area: new insights from disaggregated data
by Ralph Setzer & Guntram Wolff
March 2013, Volume 10, Issue 1
- 1-45 Unsustainable sovereign debt—is the Euro crisis only the tip of the iceberg?
by N. Bilkic & B. Carreras Painter & T. Gries - 47-79 Financial market integration, stock markets and exchange rate dynamics in Eastern Europe
by Mevlud Islami & Paul Welfens - 81-126 Keeping banks afloat: public lifelines during the financial crisis
by Stéphanie Stolz & Michael Wedow - 127-157 Do firms benefit from multiple banking relationships? Evidence from small and medium- sized firms in Japan
by Masayo Shikimi
September 2012, Volume 9, Issue 3
- 209-211 The recent economic crisis and its Europe wide consequences
by Christian Richter & Edward Shinnick & Elias Soukiazis - 213-233 A competitive growth of a small midle-income country in the eurozone is far to be assured
by Marjan Senjur - 235-243 Is 2 % the optimal inflation rate for the Euro Area?
by Ma Caraballo & Tilemahos Efthimiadis - 245-264 The cross-country importance of global sentiments—evidence for smaller EU countries
by Joscha Beckmann & Ansgar Belke & Michael Kühl - 265-295 Political business cycles and monetary policy revisited–an application of a two-dimensional asymmetric Taylor reaction function
by Jens Klose - 297-322 Convergence crisis: economic crisis and convergence in the European Union
by Péter Halmai & Viktória Vásáry
June 2012, Volume 9, Issue 2
- 111-128 FX intervention in the Yen-US dollar market: a coordination channel perspective
by Stefan Reitz & Mark Taylor - 129-146 Rationale and policies for the green growth of cities and regional economies
by Mario Piacentini - 147-189 Seamless sustainable transport connectivity in Asia and the Pacific: prospects and challenges
by Biswa Bhattacharyay - 191-207 Marshall-Lerner condition and economic globalization
by Paul Welfens
March 2012, Volume 9, Issue 1
- 1-6 Eurozone entry criteria after the crisis
by Holger Wolf - 7-12 Stabilizing the Euro area and overcoming the confidence crisis
by Paul Welfens - 13-51 Exchange rate determination: a theory of the decisive role of central bank cooperation and conflict
by Robin Pope & Reinhard Selten & Johannes Kaiser & Sebastian Kube & Jürgen Hagen - 53-82 Effective environmental protection in the context of government decentralization
by ZhongXiang Zhang - 83-110 On the choice of an anchor for the GCC currency: does the symmetry of shocks extend to both the oil and the non-oil sectors?
by Rosmy Jean Louis & Faruk Balli & Mohamed Osman
December 2011, Volume 8, Issue 4
- 337-339 Challenges for economic policy
by Ulrich Suntum & Cordelius Ilgmann - 341-362 An evolutionary algorithm for the estimation of threshold vector error correction models
by Makram El-Shagi - 363-382 Mind the gap—German motherhood risks in figures and game theory issues
by Christina Boll - 383-405 Negative nominal interest rates: history and current proposals
by Cordelius Ilgmann & Martin Menner - 407-426 Is there a link between homeownership and unemployment? Evidence from German regional data
by Oliver Lerbs
September 2011, Volume 8, Issue 3
- 225-245 Stable and enforceable: a new fiscal framework for the Euro area
by Andrew Hughes Hallett & Svend Jensen - 247-273 Oil shocks and endogenous markups: results from an estimated euro area DSGE model
by Marcelo Sánchez - 275-305 The choice of exchange rate regimes in the MENA countries: a probit analysis
by Mohamed Sfia - 307-322 Growth, volatility and stabilisation policy in a DSGE model with nominal rigidities and learning-by-doing
by The Pham - 323-336 Lobbying paradox of strategic export policy in a differentiated duopoly
by Teng Wang
June 2011, Volume 8, Issue 2
- 115-120 International economics and natural resources: from theory to policy
by Lucas Bretschger & Simone Valente - 121-138 Fiscal policy and Dutch disease
by Frederick Ploeg - 139-153 Dutch disease revisited. Oil discoveries and movements of the real exchange rate when manufacturing is resource-intensive
by Cosimo Beverelli & Salvatore Dell’Erba & Nadia Rocha - 155-176 The resource drag
by Graham Davis - 177-196 Natural resources and non-cooperative trade policy
by Joelle Latina & Roberta Piermartini & Michele Ruta - 197-224 International trade and net investment: theory and evidence
by Lucas Bretschger & Simone Valente
April 2011, Volume 8, Issue 1
- 1-2 Editorial
by Christian Pierdzioch & Paul Welfens & Holger Wolf - 3-6 Internal devaluation in a monetary union
by Holger Wolf - 7-14 The 2010 euro crisis stand-off between France and Germany: leadership styles and political culture
by Frank Bohn & Eelke Jong - 15-29 From the transatlantic banking crisis to the euro crisis?
by Paul Welfens - 31-43 The euro crisis and crisis management: big lessons from a small island
by Cillian Ryan - 45-78 Channels of international risk-sharing: capital gains versus income flows
by Thierry Bracke & Martin Schmitz - 79-92 Corporate financing and macroeconomic volatility in the European union
by Andy Mullineux & Victor Murinde & Rudra Sensarma - 93-113 A disaggregated analysis of the export performance of some industrial and emerging countries
by Andrea Finicelli & Massimo Sbracia & Andrea Zaghini
December 2010, Volume 7, Issue 4
- 371-390 Sources of time-varying exchange rate exposure
by Christian Pierdzioch & Renatas Kizys - 391-409 Capital mobility and labor market volatility
by M. Alper Çenesiz & Christian Pierdzioch - 411-421 Monetary policy committee size and inflation volatility
by Szilard Erhart & Harmen Lehment & Jose Vasquez Paz - 423-436 Exchange rate volatility, international trade and labour demand
by Udo Broll & Sabine Hansen-Averlant - 437-448 Is there an Anglo-American corporate governance model?
by Andrew Mullineux
August 2010, Volume 7, Issue 2
- 147-151 The international economics of resources and resource policy
by Raimund Bleischwitz & Paul Welfens & ZhongXiang Zhang - 153-185 Global economic sustainability indicator: analysis and policy options for the Copenhagen process
by Paul Welfens & Jens Perret & Deniz Erdem - 187-202 Sustainability economics, resource efficiency, and the Green New Deal
by Lucas Bretschger - 203-225 The U.S. proposed carbon tariffs, WTO scrutiny and China’s responses
by ZhongXiang Zhang - 227-244 International economics of resource productivity – Relevance, measurement, empirical trends, innovation, resource policies
by Raimund Bleischwitz - 245-265 Competences for green development and leapfrogging in newly industrializing countries
by Rainer Walz - 267-290 Eco-innovation for environmental sustainability: concepts, progress and policies
by Paul Ekins - 291-316 The Dutch energy transition approach
by René Kemp - 317-341 Multi-agent modeling of economic innovation dynamics and its implications for analyzing emission impacts
by Frank Beckenbach & Ramón Briegel - 343-356 How to increase global resource productivity? Findings from modelling in the petrE project
by Christian Lutz - 357-370 Eco-innovation for enabling resource efficiency and green growth: development of an analytical framework and preliminary analysis of industry and policy practices
by Tomoo Machiba
May 2010, Volume 7, Issue 1
- 1-2 Editorial
by Christian Pierdzioch & Paul Welfens & Holger Wolf & Jürgen Wolters - 3-48 Transatlantic banking crisis: analysis, rating, policy issues
by Paul Welfens - 49-62 Lessons of the crisis for emerging markets
by Barry Eichengreen - 63-82 The causes of the recent financial crisis and the role of central banks in avoiding the next one
by Helmut Wagner - 83-127 Current account balances and structural adjustment in the euro area
by Holger Zemanek & Ansgar Belke & Gunther Schnabl - 129-145 Dynamics of two-sided internet markets
by Michael Vogelsang
December 2009, Volume 6, Issue 4
- 345-359 A simple macro model of Original Sin based on optimal price setting under incomplete information
by Axel Lindner & Alexander Ludwig - 361-365 Interregional trade, industrial location and import infrastructure
by Toru Kikuchi & Kazumichi Iwasa - 367-389 An international multilevel competition policy system
by Oliver Budzinski - 391-419 Ghostbusting: which output gap really matters?
by Andreas Billmeier - 421-443 (De-)Stabilizing two-country macroeconomic interactions in an estimated model of the U.S. and the Euro Area
by Christian Proaño
October 2009, Volume 6, Issue 3
- 235-258 The role of banks in financial integration: evidence from new EU members
by Cillian Ryan & Nicholas Horsewood - 259-281 Are “new” and “old” EU members becoming more financially integrated? A threshold cointegration analysis
by Tigran Poghosyan - 283-313 Robust Taylor rules under heterogeneity in currency trade
by Mikael Bask & Carina Selander - 315-343 The optimal exchange rate regime for a small country
by Hiroya Akiba & Yukihiro Iida & Yoshihiro Kitamura
July 2009, Volume 6, Issue 2
- 83-84 Monetary Integration in Europe (and beyond)
by Christian Richter - 85-101 Has there been any structural convergence in the transmission of European monetary policies?
by Andrew Hughes Hallett & Christian Richter - 103-113 Divergent business cycles as an effect of a monetary union
by Adam Koronowski - 115-133 Global current account adjustment: trade implications for the euro area countries
by Kristin Langwasser - 135-156 Analysis of a monetary union enlargement in the framework of linear-quadratic differential games
by Joseph Plasmans & Jacob Engwerda & Bas Aarle & Tomasz Michalak - 157-177 Challenges for the new EU member states on the road to the Eurozone
by Václav Žďárek - 179-206 Implicit exchange regimes in Central and Eastern Europe: a first exploration
by Francisco Ledesma-Rodríguez & Jorge Pérez-Rodríguez & Simón Sosvilla-Rivero - 207-234 Is the US no longer the economy of first resort? Changing economic relationships in the Asia-Pacific region
by Andrew Hughes Hallett & Christian Richter
June 2009, Volume 6, Issue 1
- 1-22 From the Asian crisis to the global credit crisis: reforming the international financial architecture redux
by Barry Eichengreen - 23-39 Liberalization of EU telecommunications and trade: theory, gravity equation analysis and policy implications
by Andre Jungmittag & Paul Welfens - 41-57 Does foreign ownership matter for the innovative activities of enterprises?
by Bernhard Dachs & Bernd Ebersberger - 59-82 Technological catch-up or resource rents?
by Natalia Merkina
December 2008, Volume 5, Issue 4
- 345-361 Wage dispersion in Germany and the US: is there compression from below?
by Joachim Möller - 363-370 A note on why more West than East German firms export
by Joachim Wagner - 371-388 Wage vs. industry subsidies: coping with technology related unemployment in a globalized economy
by Barbara Dluhosch & Daniel Horgos - 389-401 A structural break in the effects of Japanese foreign exchange intervention on yen/dollar exchange rate volatility
by Eric Hillebrand & Gunther Schnabl - 403-424 Sowing the seeds for the subprime crisis: does global liquidity matter for housing and other asset prices?
by Ansgar Belke & Walter Orth & Ralph Setzer
November 2008, Volume 5, Issue 3
- 237-253 Portfolio modelling and growth in open economies
by Paul Welfens - 255-268 Fiscal policy and direct crowding-out in a small open economy
by Juha Tervala - 269-295 Does the dispersion of unit labor cost dynamics in the EMU imply long-run divergence?
by Sebastian Dullien & Ulrich Fritsche - 297-321 Firm boundary decisions: the market for health-related R&D services with an empirical case study for Germany
by Oliver Baumann & Hariolf Grupp - 323-344 The road to liberalization: Policy design and implementation of Taiwan’s privatization
by Huei-Wen Pao & Hsueh-Liang Wu & Wei-Hwa Pan
July 2008, Volume 5, Issue 1
- 1-4 Policy issues in the Eurozone: cyclic convergence and fiscal sustainability
by Andrew Hallett & Reinhard Neck & Christian Richter - 5-24 Accession to the euro-area: a stylized analysis using a NK model
by Bas Aarle & Harry Garretsen & Cindy Moons - 25-47 Price convergence in the EU—an aggregate and disaggregate approach
by Joanna Wolszczak-Derlacz - 49-69 Finnish and Swedish business cycles in a global context
by U. Bergman - 71-101 Have the Eurozone economies converged on a common European cycle?
by Andrew Hughes Hallett & Christian Richter - 103-121 Business cycle synchronisation in the Euro area: the case of small countries
by Sofia Gouveia & Leonida Correia - 123-137 Regional business cycle synchronization in Europe?
by Lourdes Montoya & Jakob Haan - 139-163 Fiscal sustainability across government tiers
by Peter Claeys & Raúl Ramos & Jordi Suriñach - 165-187 Debt targets and fiscal sustainability in an era of monetary independence
by Andrew Hughes Hallett - 189-207 The stability and growth pact, fiscal policy institutions and stabilization in Europe
by Carlos Marinheiro - 209-223 An empirical investigation of the sustainability of the public deficit in Portugal
by Maria do Rosario Correia & Reinhard Neck & Theodore Panagiotidis & Christian Richter - 225-235 US growth and budget consolidation in the 1990s: was there a non-Keynesian effect?
by Anton Burger & Martin Zagler
February 2008, Volume 4, Issue 4
- 329-330 Editorial
by Paul Welfens & Holger Wolf & Jürgen Wolters - 331-346 The background to the 2007 financial crisis
by C.A.E. Goodhart - 347-356 Banking crisis and prudential supervision: a European perspective
by Paul Welfens - 357-361 Rethinking banking supervision in the EU
by Holger Wolf - 363-370 British banking regulation and supervision: between a rock and a hard place
by Andy Mullineux - 371-393 Does financial integration make banks more vulnerable? Regulation, foreign owned banks, and the lender-of-last resort
by Helge Berger & Carsten Hefeker - 395-420 Impacts of trade reform: sensitivity of model results to key assumptions
by Ernesto Valenzuela & Kym Anderson & Thomas Hertel - 421-432 International mixed duopoly and strategic commitments
by Kazuhiro Ohnishi
November 2007, Volume 4, Issue 3
- 227-240 Age-period-cohort decomposition of social security taxes and benefits in the USA and Japan
by Kosei Fukuda - 241-262 European integration: the third step
by Harry Bowen & Leo Sleuwaegen - 263-279 The Swedish external position and the krona
by Philip Lane - 281-297 Is reversion to PPP in euro exchange rates non-linear?
by Bernd Schnatz - 299-328 Nominal and real wage flexibility in EMU
by Alfonso Arpaia & Karl Pichelmann
August 2007, Volume 4, Issue 2
- 101-107 Digital economy and regulatory issues. Introduction
by Günter Knieps & Ingo Vogelsang - 109-133 Changes in industry structure and technological convergence: implications for competition policy and regulation in telecommunications
by Timothy Tardiff - 135-158 Efficient interconnection charges and capacity-based pricing
by D. Kennet & Eric Ralph - 159-184 Network neutrality and the nature of competition between network operators
by Viktória Kocsis & Paul Bijl - 185-208 Broadband Internet: net neutrality versus open access
by Christiaan Hogendorn - 209-225 Open source software: Motivation and restrictive licensing
by Chaim Fershtman & Neil Gandal
April 2007, Volume 4, Issue 1
- 1-13 On the hump-shaped output effect of monetary policy in an open economy
by Christian Pierdzioch & Serkan Yener - 15-31 Fiscal policy in central and Eastern Europe: what happened in the run-up to EU accession?
by John Lewis - 33-59 The Barcelona initiative and the importance of NTBs: a dynamic CGE-analysis for Syria
by Beatriz Gaitan & Bernd Lucke - 61-100 A generalized multi-country endogenous growth model
by Lutz Arnold
December 2006, Volume 3, Issue 3
- 175-179 Regional and international currency arrangements: introduction
by Eduard Hochreiter & George Tavlas - 181-196 Europe’s hard fix: the Euro area
by Otmar Issing - 197-201 Comments on O. Issing: “Europe’s hard fix: the Euro areaâ€\x9D
by Leslie Lipschitz - 203-208 Comments on O. Issing: “Europe’s hard fix: the Euro areaâ€\x9D
by Mario Blejer - 209-219 Regional currency arrangements: insights from Europe
by Josef Christl - 221-224 Comments on J. Christl: “Regional currency arrangements: insights from Europeâ€\x9D
by Lars Jonung - 225-247 Monetary unions, external shocks and economic performance: A Latin American perspective
by Sebastian Edwards - 249-258 Comments on S. Edwards: “Monetary unions, external shocks and economic performance: a Latin American perspectiveâ€\x9D
by Klaus Schmidt-Hebbel - 259-264 Comments on S. Edwards: “Monetary unions, external shocks and economic performance: a Latin American perspectiveâ€\x9D
by Enrique Alberola - 265-280 Regional currency arrangements in North America
by Sven Arndt - 281-286 Comments on S. Arndt: “Regional currency arrangements in North Americaâ€\x9D
by Steven Kamin - 287-291 Comments on S. Arndt: “Regional currency arrangements in North Americaâ€\x9D
by Pierre Siklos - 293-302 Interest rates, exchange rates and international adjustment: BW II dynamics
by Michael Dooley & David Folkerts-Landau & Peter Garber - 303-332 The BW 2 regime: an unstable disequilibrium bound to unravel
by Nouriel Roubini - 333-336 Comments on M. Dooley and N. Roubini: A new Bretton Woods system?
by Maxwell Watson - 337-340 Comments on M. Dooley and N. Roubini: A new Bretton Woods system?
by J. de Beaufort Wijnholds - 341-352 A worldwide system of reference rates
by John Williamson - 353-357 Comments on J. Williamson: “A worldwide system of reference ratesâ€\x9D
by Marc Flandreau - 359-377 Exchange-rate arrangements and financial integration in East Asia: on a collision course?
by Hans Genberg - 379-382 Comments on H. Genberg: “Exchange-rate arrangements and financial integration in East Asia: on a collision course?
by Eiji Ogawa - 383-386 Comments on H. Genberg: “Exchange-rate arrangements and financial integration in East Asia: on a collision course?â€\x9D
by James Dorn - 387-394 Proposal for a common currency among rich democracies
by Richard Cooper - 395-407 One world money, then and now
by Michael Bordo & Harold James - 409-414 Comments on R. Cooper, M. Bordo and H. James: Exchange rate arrangements and disarrangements: prospects for a world currency
by Sergio Schmukler - 415-419 Comments on R. Cooper, M. Bordo and H. James: A Schumpetrian view on monetary integration options and historical dynamics
by Paul Welfens
November 2006, Volume 3, Issue 2
- 91-104 Specialisation patterns and the synchronicity of regional employment cycles in Europe
by Ansgar Belke & Jens Heine - 105-136 Euro-Area Inflation: does the Balassa–Samuelson effect matter?
by Kirsten Lommatzsch & Silke Tober - 137-155 Structural breaks and the twin deficits hypothesis
by Alberto Bagnai - 157-173 The location of American and Japanese multinationals in Europe
by Hideki Yamawaki
April 2006, Volume 3, Issue 1
- 1-6 The WTO after Hong Kong: how a deal can be struck in 2006
by Stuart Eizenstat & Christopher Roberts - 7-10 Where do we go after Hong Kong?
by Horst Siebert - 11-26 Factor mobility, government debt and the decline in public investment
by Friedrich Heinemann - 27-42 The choice of inflation targeting—an empirical investigation
by Yifan Hu - 43-72 Heterogeneity in lending and sectoral growth: evidence from German bank-level data
by Andrea Schertler & Claudia Buch & Natalja Westernhagen - 73-89 Systemically important banks: an analysis for the European banking system
by Helmut Elsinger & Alfred Lehar & Martin Summer
December 2005, Volume 2, Issue 4
- 275-306 Policy coordination in East Asia and across the Pacific
by Koichiro Kamada & Izumi Takagawa - 307-335 Reform of the Japanese banking system
by Masahiro Kawai - 337-362 Japanese Banks’ monitoring activities and the performance of borrower firms: 1981–1996
by Kyoji Fukao & Kiyohiko Nishimura & Qing-Yuan Sui & Masayo Tomiyama - 363-381 Zombie firms and economic stagnation in Japan
by Alan Ahearne & Naoki Shinada
November 2005, Volume 2, Issue 2
- 91-100 Reversal of fortune: Macroeconomic policy, International Finance, and Banking in Japan
by Gary Saxonhouse & Robert Stern - 101-126 The role of preconceived ideas in macroeconomic policy: Japan's experiences in two deflationary periods
by Koichi Hamada & Asahi Noguchi - 127-151 Price expectations and consumption under deflation: evidence from Japanese household survey data
by Masahiro Hori & Satoshi Shimizutani - 153-172 Japan's fiscal policy and fiscal reconstruction
by Toshihiro Ihori & Atsushi Nakamoto - 173-188 The effects of ‘Gesell’ (Currency) taxes in promoting Japan's economic recovery
by Mitsuhiro Fukao - 189-200 Overcoming the zero bound on nominal interest rates: Gesell’s currency carry tax vs. Eisler’s parallel virtual currency
by Willem Buiter - 201-218 Good deflation/bad deflation and Japanese economic recovery
by Gary Saxonhouse