Content
2014, Volume 61, Issue 1
- 129-143 Fiscal Crisis, Social Security Reform and Vulnerable Population
by Patricia Peinado & Felipe Serrano
2013, Volume 60, Issue 6
- 707-723 Effects on Taxation on the Forecasting of Income Inequality: Evidence from Germany, Greece, and Italy
by Guglielmo D’Amico & Giuseppe Di Biase & Raimondo Manca - 725-741 Determinants of Dividend Policy: Evidence from Listed Firms in the African Stock Exchanges
by Matthias Nnadi & Nyema Wogboroma & Bariyima Kabel - 743-757 Are the Global REIT Markets Efficient by a New Approach?
by Hao Fang & Yen-Hsien Lee - 759-773 Synchronization of Business Cycles in the Selected European Countries
by Saša Obradović & Vladimir Mihajlović - 775-789 Asymmetric Correlation of Sovereign Bond Yield Dynamics in the Eurozone
by Silvo Dajcman - 791-812 Testing for Causality between the Foreign Direct Investment, Current Account Deficit, GDP and Total Credit: Evidence from G7
by Yusuf Ekrem Akbas & Mehmet Senturk & Canan Sancar - 813-836 Challenging the Raison d’etre of Internal Devaluation in the Context of the Greek Economy
by Constantinos Alexiou & Joseph G. Nellis - 837-845 China's Road to Capitalism How China Became Capitalist by Ronald Coase and Ning Wang
by Božo Stojanović
2013, Volume 60, Issue 5
- 577-592 Mistakes in the Fiscal Policy in Spain before the Crisis
by Jesús Ferreiro & Carmen Gómez & Felipe Serrano - 593-614 Impact of the Subprime Crisis on Commercial Banks’ Financial Performance
by Hao Fang & Yang-Cheng Lu & Chi-Wei Su - 615-631 Bank Wholesale Funding and Credit Procyclicality: Evidence from Korea
by Sangjun Jeong & Hueechae Jung - 633-647 Causality between Regional Stock Markets: A Frequency Domain Approach
by Nikola Gradojević & Eldin Dobardžić - 649-666 American Growth and Napoleonic Wars
by Hasan Vergil & M. Erdem Ozgur - 667-686 Income Redistribution through Taxes and Social Benefits: The Case of Slovenia and Croatia
by Mitja Čok & Ivica Urban & Miroslav Verbič - 687-698 France and Germany Nuclear Energy Policies Revisited: A Veblenian Appraisal
by Pascal Petit - 699-705 Rebel Cities: From the Right to the City to the Urban Revolution by David Harvey
by Dušan Marinković
2013, Volume 60, Issue 4
- 433-455 The Crisis of the Core Seen through the Eyes of the Periphery: A Schelling Model of the Global-South Megacity and the European Crisis
by Gary A. Dymski - 457-472 Wagner’s Law versus Keynesian Hypothesis: Evidence from pre-WWII Greece
by Antoniou Antonis & Katrakilidis Constantinos & Tsaliki Persefoni - 473-497 Which Global Stock Indices Trigger Stronger Contagion Risk in the Vietnamese Stock Market? Evidence Using a Bivariate Analysis
by Kuan-Min Wang & Hung-Cheng Lai - 499-513 Turkish Stock Market Integration with Oil Prices: Cointegration Analysis with Unknown Regime Shifts
by Umut Halaç & Fatma Dilvin Taşkın & Efe Çağlar Çağlı - 515-540 Capital Flows, Real Exchange Rates, and Capital Controls: What Is the Scope of Liberalization for Tunisia?
by Fatma Marrakchi Charfi - 541-555 Financial Effects of the International Migration in Europe: Modelling the Decision to Remit
by Monica Roman - 557-568 Equilibrium-Oriented Housing Supply: A Case Study of Chengdu City, China
by Ge He - 569-576 The Riddle of Thinking Thinking, Fast and Slow by Daniel Kahneman
by Božo Stojanović
2013, Volume 60, Issue 3
- 249-290 Finance Capitalism: A Look at the European Financial Accounts
by Massimo Cingolani - 291-310 The Euro Zone Peripheral Countries’ Sovereign Debt Crisis: Also a Case of Non-Mature Democracies?
by Abel L. Costa Fernandes & Paulo R. Mota - 311-321 The EU Financial Transactions Tax: Antecedents and Current Debate
by Yiannis Kitromilides & Ana Rosa González - 323-345 Eastern Migrations vs Western Welfare States – (Un)Biased Fears
by Kosta Josifidis & John Hall & Valérie Berenger & Novica Supić - 347-364 Family and Childcare Support Public Expenditures and Short-Term Fertility Dynamics
by Cosmin Enache - 365-380 Can Immigrant Remittances Support Development Finance?
by Alex Julca - 381-396 Exchange Rate Misalignment, Capital Accumulation and Income Distribution Theory and Evidence from the Case of Brazil
by José Luis Oreiro & Eliane Araujo - 397-414 Conflicts between Agricultural Policy and Sustainable Land Use: The Case of Northern Spain
by Juan Ramón Murua & Inmaculada Astorkiza & Begoña Eguía - 415-431 Changing the Total Allowable Catch (TAC) Decision-Making Framework: A Central Bank of Fishes?
by Kepa Astorkiza & Ikerne del Valle
2013, Volume 60, Issue 2
- 139-159 The Application of Data Envelopment Analysis Based Malmquist Total Factor Productivity Index: Empirical Evidence in Turkish Banking Sector
by Yasemin Keskin Benli & Suleyman Degirmen - 161-178 Financial Integration, Euro and the Twin Deficits of Southern Eurozone Countries
by Nikolina E. Kosteletou - 179-202 The Purchasing Power Parity in Emerging Europe: Empirical Results Based on Two-Break Analysis
by Zorica Mladenović & Kosta Josifidis & Slađana Srdić - 203-230 Foreign Reserves as Hedging Instruments in Emerging Countries
by Marcello Spanò - 231-247 Out of Sample Value-at-Risk and Backtesting with the Standardized Pearson Type-IV Skewed Distribution
by Stavros Stavroyiannis & Leonidas Zarangas
2013, Volume 60, Issue 1
- 1-17 Moving from Inflation Targeting to Prices and Incomes Policy
by Philip Arestis & Malcolm Sawyer - 19-49 Policies and Institutions for Moderating Deep Recessions, Debt Crises and Financial Instabilities
by Phillip Anthony O’Hara - 51-71 The Stylized Facts of Greek Inflation: New Evidence on Persistence
by Nicholas Apergis - 73-87 Does Globalization Lead to a Rat Race of National Labor-Market Institutions?
by Peter J. Stauvermann - 89-101 Monetary Determinants of Deposit Euroization in European Post-Transition Countries
by Marina Tkalec - 103-132 Efficience des banques commerciales Tunisiennes: etude par l’approche de frontière stochastique
by Bannour Boutheina & Labidi Moez - 133-137 Applied Time Series Analysis by Zorica Mladenović and Aleksandra Nojković
by Slađana Srdić
2012, Volume 59, Issue 5
- 529-552 Policy Responses to the European Debt Crisis Treating the “Symptoms” or the “Disease”?
by Angelos A. Antzoulatos - 553-581 Développement financier, croissance de long terme et effets de seuil
by Jean-Pierre Allegret & Sana Azzabi - 583-598 Two Sector Model of Learning-By Doing and Productivity Differences
by Tuna Dinç - 599-608 Does Inflation Targeting Work in Emerging East-Asian Economies?
by Siok Kun Sek & Wai Mun Har - 609-623 Environmental Kuznets Curve and Growth Source in Iran
by Maryam Asghari - 625-646 Marchés obligataires et crises bancaires dans les pays émergents: le rôle des institutions
by Jamel Boukhatem - 647-653 Puzzle of Modern Economics, Science or Ideology? by Roger E. Backhouse
by Alpar Lošonc
2012, Volume 59, Issue 4
- 393-419 How Do Institutions Affect Structural Unemployment in Times of Crises?
by Davide Furceri & Annabelle Mourougane - 421-440 The Neoliberal Policy Paradigm and the Great Recession
by Howard Stein - 441-462 Capital Flows and Economic Growth across Spectral Frequencies: Evidence from Turkey
by Nuri Yildirim & Huseyin Tastan - 463-474 Sensitivity of Stock Market Indices to Oil Prices: Evidence from Manufacturing Sub-Sectors in Turkey
by Ibrahim Halil Eksi & Mehmet Senturk & H. Semih Yildirim - 475-499 Estimating the Impact of the Balassa-Samuelson Effect in Central and Eastern European Countries: A Revised Analysis of Panel Data Cointegration Tests
by Mirjana Miletić - 501-519 Value and Power in Economics
by Kosta Josifidis & Alpar Lošonc - 521-527 Modern Political Economics: Making Sense of the Post-2008 World by Yanis Varoufakis, Joseph Halevi, and Nicholas J. Theocarakis
by Alpar Lošonc
2012, Volume 59, Issue 3
- 267-281 Jackknife Model Averaging of the Current Account Determinants
by Branko Urošević & Milan Nedeljković & Emir Zildžović - 283-292 Initial Evidence from a New Database on Capital Market Restrictions
by Makram El-Shagi - 293-310 Using Fuzzy Logic for Evaluating the Level of Countries’ (Regions’) Economic Development
by Gordan Stojić - 311-324 Does Gibrat’s Law Hold in the Insurance Industry of China? A Test with Sequential Panel Selection Method
by Guochen Pan & Sen-Sung Chen & Tsangyao Chang - 325-334 Nonlinearity and Fractional Integration in the US Dollar/Euro Exchange Rate
by Burcu Kıran - 335-353 Changes in Relative Material Deprivation in Regions of Slovakia and the Czech Republic
by Tomas Zelinsky - 355-367 Effects of Serbian Accession to the European Union
by Mario Holzner & Valentina Ivanić - 369-386 Knowledge Based Economy: The Role of Expert Diaspora
by Jovan Filipović & Srečko Devjak & Goran Putnik - 387-392 Mikroekonomska analiza (Microeconomic Analysis) by Milić Milovanović
by Božo Stojanović
2012, Volume 59, Issue 2
- 135-156 An Empirical Study of Exchange Rate Pass-Through in China
by Xiaowen Jin - 157-183 Heterogeneity of Growth in the West Balkans and Emerging Europe: A Dynamic Panel Data Model Approach
by Kosta Josifidis & Radmila Dragutinović Mitrović & Olgica Ivančev - 185-199 Robust Monetary Policy in a Currency Union
by Olga Kuznetsova - 201-216 Strategic Interaction Between Fiscal and Monetary Policies in an Export-Oriented Economy
by Sergey Merzlyakov - 217-234 Liquidity, Welfare and Distribution
by Samuel Gil Martín - 235-266 Inflation Persistence in Central and Southeastern Europe: Evidence from Univariate and Structural Time Series Approaches
by Zorica Mladenović & Aleksandra Nojković
2012, Volume 59, Issue 1
- 1-12 Institutional Regimes, Long Wave Systemic Risk and Great International Crisis of 2008-2012
by Phillip Anthony O’Hara - 13-36 From Stages to Varieties of Capitalism: Lessons, Limits and Prospects
by Eyüp Özveren & Utku Havuç & Emrah Karaoğuz - 37-57 Does an Undervalued Currency Merit Economic Growth? – Evidence from Taiwan
by Ho-don Yan & Cheng-lang Yang - 59-87 Une analyse de l’exposition au risque de change du portefeuille de la dette publique de la Tunisie: application de l’approche VaR
by Samia Omrane - 89-104 Intertemporal Solvency of Turkey’s Current Account
by Ayla Oğuş Binatli & Niloufer Sohrabji - 105-115 Comparative Analysis Based on New Competitiveness Index
by Nebojša Savić - 117-127 Religious Capital and Religious Rewards: A Study in the Economics of Religious Life
by Sergej Flere - 129-133 Sloboda izbora (Free to Choose) by Miroslav Prokopijević
by Ivan Janković
2011, Volume 58, Issue 5
- 571-592 Current Account Imbalances in the Monetary Union and the Great Recession: Causes and Policies
by Jorge Uxó & Jesús Paúl & Eladio Febrero - 593-604 Political Economy of the Euro Area Crisis
by Casimir Dadak - 605-629 Euro Area Ten Years after Its Creation: (Divergent) Competitiveness and the Optimum Currency Area Theory
by João Rebelo Barbosa & Rui Henrique Alves - 631-649 The Roots of the Eurozone Sovereign Debt Crisis: PIGS vs Non-PIGS
by Abel L. Costa Fernandes & Paulo R. Mota - 651-674 European Welfare Regimes: Political Orientations versus Poverty
by Kosta Josifidis & John Hall & Novica Supić & Olgica Ivančev - 675-692 Inflation Targeting and Economic Performance: The Case of Mexico
by Carlos A. Carrasco & Jesús Ferreiro - 693-714 Brazil Responses to the International Financial Crisis: A Successful Example of Keynesian Policies?
by André Moreira Cunha & Daniela Magalhães Prates & Fernando FerrariFilho - 715-733 A Critical Revision of the Empirical Literature on Chinese Outward Investment: A New Proposal
by Carlos Rodríguez & Ricardo Bustillo - 735-757 Knowledge and Job Opportunities in a Gender Perspective: Insights from Italy
by Angela Cipollone & Marcella Corsi & Carlo D’Ippoliti - 759-771 A Dynamic Analysis of the Effect of Social Security Reform on Spanish Widow Pensioners
by Patricia Peinado & Felipe Serano
2011, Volume 58, Issue 4
- 431-453 Best in Class: Public Finances in Sweden during the Financial Crisis
by Michael Bergman - 455-471 Education Composition and Growth: A Pooled Mean Group Analysis of OECD Countries
by Marta C. N. Simões - 473-488 Cluster Detection in Laboratory Auction Data: A Model-Based Approach
by Andrés Romeu - 489-509 Growing Export Performance of Transition Economies: EU Market Access versus Supply Capacity Factors
by Jože P. Damijan & Matija Rojec & Maja Ferjančič - 511-524 Relational Incentives in Chinese Family Firms
by Jiancai Pi - 525-543 Changes in Stock Markets Interdependencies as a Result of the Global Financial Crisis: Empirical Investigation on the CEE Region
by Cristiana Tudor - 545-557 New Political Macroeconomics in Modern Macroeconomics and Its Appliance to Transition Processes in Serbia
by Miomir Jakšić & Aleksandra Praščević - 559-570 Uncertain Future of the European Union The End of European Integration – Anti-Europeanism Examined by Paul Taylor
by Božo Stojanović
2011, Volume 58, Issue 3
- 285-308 Limits of Policy Intervention in a World of Neoliberal Mechanism Designs: Paradoxes of the Global Crisis
by Gary A. Dymski - 309-328 Causes and Consequences of the Spanish Economic Crisis: Why the Recovery is Taken so Long?
by Francisco Carballo-Cruz - 329-341 Bank Efficiency: Evidence from a Panel of European Banks
by Nicholas Apergis & Effrosyni Alevizopoulou - 343-353 Empirical Investigation on the Determinants of the Saving- Investment Interaction
by Timur Han Gur & Lutfi Erden & Ibrahim Ozkan - 355-372 Efficiency, Productivity and Stock Performance: Evidence from the Turkish Banking Sector
by Saadet Kasman & Adnan Kasman - 373-391 Exigency Politics or New World Order?
by Miroslava Filipović - 393-406 Convergence of the Export Structure of Romania, Croatia, Serbia and Bosnia-Herzegovina to the Structure of Import Demand in Developed Countries
by Goran Nikolić - 407-423 Rethinking the Role of Regulation in the Aftermath of the Global Financial Crisis: The Case of the UK
by David Slattery & Joseph G. Nellis - 425-430 Shadows Оver Chicagoans. A Guide to the Chicago School in Economics The Elgar Companion to the Chicago School of Economics by Ross B. Emmett
by Miroslav Prokopijević
2011, Volume 58, Issue 2
- 143-156 Fiscal Policy Is Still an Effective Instrument of Macroeconomic Policy
by Philip Arestis - 157-193 Robustno optimalna monetarna politika sa skoro-racionalnim očekivanjima
by Michael Woodford - 195-218 Fundamentals of the Portuguese Crisis
by João Sousa Andrade & Adelaide Duarte - 219-227 Credit Rating Agencies and Moral Hazard
by Miloš Božović & Branko Urošević & Boško Živković - 229-244 Are the Determinants of Markup Size Industry-Specific? The Case of Slovenian Manufacturing Firms
by Nina Ponikvar & Maks Tajnikar - 245-266 Banking Concentration in the European Union during the Last Fifteen Years
by Roberto J. Santillán Salgado - 267-276 Quantum Economics
by Veselin Vukotić - 277-284 Consequences of the Unpredictable and the Unexpected The Black Swan - The Impact of the Highly Improbable by Nassim Nicholas Taleb
by Božo Stojanović
2011, Volume 58, Issue 1
- 1-17 International Subprime Crisis and Recession: Emerging Macroprudential, Monetary, Fiscal and Global Governance
by Phillip Anthony O’Hara - 19-41 The Irish Economy: Three Strikes and You’re Out?
by Constantin Gurdgiev & Brian M. Lucey & Ciarán Mac an Bhaird & Lorcan Roche-Kelly - 43-56 The Political Economy of the Rise and Decline of Developmental States
by Carlos Aguiar de Medeiros - 57-66 Limitations of the Government Budget Constraint: Users vs. Issuers of the Currency
by Stephanie Kelton - 67-89 R&D and Economic Growth in Slovenia: A Dynamic General Equilibrium Approach with Endogenous Growth
by Miroslav Verbič & Boris Majcen & Olga Ivanova & Mitja Čok - 91-111 La portée de la politique de ciblage d’inflation: Approche analytique et empirique pour le cas Tunisien
by Adnen Chockri & Ibticem Frihka - 113-133 Crisis and After: There Is No Alternative?
by Timur Han Gür & Naci Canpolat & Hüseyin Özel - 135-141 Capital as Power: A Study of Order and Creorder by Jonathan Nitzan and Shimshon Bichler
by Alpar Lošonc
2010, Volume 57, Issue 4
- 391-404 The Greek Crisis: Causes and Implications
by Georgios P. Kouretas & Prodromos Vlamis - 405-428 “The Price You Pay”: The Impact of State-Funded Secondary School Performance on Residential Property Values in England
by John Glen & Joseph G. Nellis - 429-445 Asymmetric Volatility Spillovers between Stock Market and Real Activity: Evidence from the UK and the US
by Nikolaos Giannellis & Angelos Kanas & Athanasios P. Papadopoulos - 447-469 Endogeneity of the Natural Rate of Growth: An Application to Turkey
by Senay Acikgoz & Merter Mert - 471-485 The Link between Government Spending, Consumer Confidence and Consumption Expenditures in Emerging Market Countries
by Yasemin Özerkek & Sadullah Çelik - 487-501 Financial Services Liberalisation in Transition Countries and the Role of the WTO
by Ivana Prica & Jelica Petrović Vujačić - 503-509 Economic Theory and Reality Spontaneous Chaos – Economics in a Time of Wolves by Erik S. Reinert
by Božo Stojanović
2010, Volume 57, Issue 3
- 251-259 Primena novog fiskalnog aktivizma
by Alan J. Auerbach - 261-282 Exchange Rate and Interest Rate Distribution and Volatility under the Portuguese Target Zone
by António Portugal Duarte & João Sousa Andrade & Adelaide Duarte - 283-302 Risk Assessment of Transitional Economies by Multivariate and Multicriteria Approaches
by Neli Tomić-Plazibat & Zdravka Aljinović & Snježana Pivac - 303-320 Random Walk Theory and Exchange Rate Dynamics in Transition Economies
by Nikola Gradojević & Vladimir Djaković & Goran Andjelić - 321-332 Link between International Supervision and Banking Crises
by Houssem Rachdi - 333-347 Economic Development and Foreign Direct Investment: How to Create Sustainable Development An Analysis of the Potential for Sustainable Development on the Indian Subcontinent
by Nathalie Homlong & Elisabeth Springler - 349-367 Illiquidity of Frontier Financial Market: Case of Serbia
by Boško Živković & Jelena Minović - 369-384 Euro Crisis
by Miroslav Prokopijević - 385-390 The Romantic Economist: Imagination in Economics by Richard Bronk
by Alpar Lošonc
2010, Volume 57, Issue 2
- 123-151 Bihevioristička ekonomija blagostanja
by B. Douglas Bernheim - 153-172 Introducing Formalism in Economics: The Growth Model of John von Neumann
by Sandye Gloria-Palermo - 173-188 Cost-based Empirical Model of the Aggregate Price Determination for the Turkish Economy: A Multivariate Cointegration Approach
by Fatma Zeren & Levent Korap - 189-207 Measurement of Competitiveness Degree in Tunisian Deposit Banks: An Application of the Panzar and Rosse Model
by Sami Mensi - 209-224 Subprime Crisis and Instability of Global Financial Markets
by Ognjen Radonjić & Miodrag Zec - 225-243 Methodological Basis for Macroeconomic Projections in Countries Exposed to Pressures and Shocks: Example of Serbia
by Miladin Kovačević & Stojan Stamenković - 245-249 Exchange Rate Regimes in Emerging and Transition Economies by Kosta Josifidis, Jean-Pierre Allegret and Emilija Beker
by Celine Gimet
2010, Volume 57, Issue 1
- 1-22 Bihevioristička ekonomija blagostanja
by B. Douglas Bernheim - 23-41 Exchange Rate and Trade Balance: J-curve Effect
by Pavle Petrović & Mirjana Gligorić - 43-60 Insurability Challenges Under Uncertainty: An Attempt to Use the Artificial Neural Network for the Prediction of Losses from Natural Disasters
by Rim Jemli & Nouri Chtourou & Rochdi Feki - 61-83 Invisible Hand in the Process of Making Economics or on the Method and Scope of Economics
by Turan Yay & Huseyin Tastan - 85-99 Can the Capability Approach be Evaluated within the Frame of Mainstream Economics? A Methodological Analysis
by Hatice Karaçay Çakmak - 101-117 Neoliberalism: Befall or Respite?
by Kosta Josifidis & Alpar Lošonc & Novica Supić - 119-122 Austrian School by Jesus Huerta de Soto
by Dragan D. Lakićević
2009, Volume 56, Issue 4
- 421-433 Decision Making by Hybrid Probabilistic-Possibilistic Utility Theory
by Endre Pap - 435-452 Enhancing Bank Transparency: What Role for the Supervision Authority?
by Francesco Giuli & Marco Manzo - 453-473 Process and Effects of Financial Liberalization in Transition Countries: A Selective Literature Survey
by Claude Berthomieu & Anastasia Ri - 475-489 Balkan Countries: Catching Up and their Integration in the European Financial System
by Fabienne Bonetto & Srdjan Redžepagić & Anna Tykhonenko - 491-506 The Global Financial Crisis and the Behaviour of Short-Term Interest Rates – International and Serbian Aspects
by Djordje Djukić & Mališa Djukić - 507-525 Challenges of Industrial Development of Serbia
by Edvard Jakopin & Jurij Bajec - 527-534 Economic Planning: Time to Reconsider?
by Wassily Kafouros - 535-540 Bad Samaritans: The Myth of Free Trade and the Secret History of Capitalism by Ha-Joon Chang
by Alpar Lošonc
2009, Volume 56, Issue 3
- 291-299 Is the 2007 US Sub-Prime Financial Crisis So Different?: An International Historical Comparison
by Carmen M. Reinhart & Kenneth S. Rogoff - 301-326 The Intersectoral Linkage Effects in Turkish Economy: An Application of Static Leontief Model
by Gülsün Gürkan Yay & Serkan Keçeli - 327-357 Développement financier et croissance économique : Rôle de la qualité des institutions
by Abdelkarim Yahyaoui & Atef Rahmani - 359-377 Interest Rate Transmission Mechanism of Monetary Policy in the Selected EMU Candidate Countries
by Rajmund Mirdala - 379-396 Income Differentials on Regional Labour Markets in Southwest Germany
by Alice Guyot & Stefan Berwing & Maria Lauxen-Ulbrich - 397-408 Pertinent Analytic Method to Correctly Measure Contributions to Growth in Gross Domestic Product
by Antoine Brunet - 409-416 Indebtedness and Mercantilism
by Jean-Paul Guichard - 417-419 Osnove austrijske teorije (Groundwork of the Austrian Theory) Božo Stojanović
by Miroslav Prokopijević
2009, Volume 56, Issue 2
- 143-197 Financial Globalization: A Reappraisal
by M. Ayhan Kose & Eswar Prasad & Kenneth Rogoff & Shang-Jin Wei - 199-226 Monetary and Exchange Rate Regimes Changes: The Cases of Poland, Czech Republic, Slovakia and Republic of Serbia
by Kosta Josifidis & Jean-Pierre Allegret & Emilija Beker Pucar - 227-240 Coefficient of Structural Concordance and an Example of its Application: Labour Productivity and Wages in Slovenia
by Miroslav Verbič & Franc Kuzmin - 241-260 The Asian Crisis Contagion: A Dynamic Correlation Approach Analysis
by Essahbi Essaadi & Jamel Jouini & Wajih Khallouli - 261-279 Technology and Demand for Skilled Labor in Turkish Private Manufacturing Industries
by Tolga Aksoy - 281-286 Trade Liberalisation and the Poverty of Nations by A.P. Thirlwall and Penélope Pacheco-López
by Zora Prekajac
2009, Volume 56, Issue 1
- 3-19 European Integration and Social Convergence: A Qualitative Appraisal
by Nicole Attia & Valérie Bérenger - 21-38 Analysis of Shocks Affecting Europe: EMU and some Central and Eastern Acceding Countries
by Nabil Ben Arfa - 39-53 Seasonal Co-integration – An Extension of the Johansen and Schaumburg Approach with an Exclusion Test
by Ozlem Tasseven - 55-72 Search for Co-Integratıon Between Money, Prıces and Income: Low Frequency Evıdence From the Turkısh Economy
by Cem Saatçioğlu & Levent Korap - 73-93 Dynamique a long terme du taux de change réel, Libéralisation Commerciale et Intégration Financiere: Cas des Pays du Sud et de l’Est Méditerranéen
by Hadj Amor Thouraya & El Araj Rita - 95-110 Challenges for Monetary Policy in the Enlarged European Monetary Union
by Irena Radović - 111-125 Serbia’s EU Integration Process: The Momentum of 2008
by Irena Ristić - 127-133 Une crise qui n’en finit pas de « rebondir »
by Jean-Paul Guichard & Antoine Brunet - 135-139 Ljubomir Madžar, The Missing Dimensions in the Evaluation of the Macroeconomic Performance in the Republic of Serbia
by Alpar Lošonc
2008, Volume 55, Issue 4
- 405-437 Demand for Currency Substitution
by John J. Seater - 439-464 Taux de change réel d’équilibre et mésalignements: Enseignements d’un modèle VAR-ECM pour le cas de la Tunisie
by Fatma Marrakchi Charfi - 465-484 Modelling Seasonality – An Extension of the HEGY Approach in the Presence of Two Structural Breaks
by Ozlem Tasseven - 485-496 On Genocide, Economic Reasons vs. Ethnic Passion
by Jérôme Ballet & Damien Bazin & François-Régis Mahieu - 497-522 Trade Liberalization in the South East Europe – Effects and Controversial Issues
by Ljiljana Pjerotić - 523-526 Quelques paradoxes sur le cours de certaines monnaies et de l’or en période de crise
by Jean-Pau Guichard - 527-530 Kosta Josifidis, Alpar Lošonc, Neoliberalizam: sudbina ili izbor (Neoliberalism: Destiny or Choice)
by Novica Supić
2008, Volume 55, Issue 3
- 255-278 Zašto će evro postati rival dolaru
by Menzie Chinn & Jeffrey Frankel - 279-308 Monetary Integration Issues in Latin America: A Multivariate Assessment
by Jean-Pierre Allegret & Alain Sand-Zantman - 309-324 The Co-integration of European Stock Markets after the Launch of the Euro
by José Soares da Fonseca - 325-352 Asymétries des marchés du travail et absorption des chocs en Union monétaire: les gouvernements doivent-ils se coaliser?
by Cornel Oros