Content
2022, Issue 172
- 1-14 Varieties as a Source of Law of One Price Deviations
by Fernando Borraz & Leandro Zipitría - 15-28 Financial market economy vs self-financing economy and the role of risk aversion
by Laurent Augier & Chao Yin - 29-39 Bunker fuel, commodity prices and shipping market indices following the COVID-19 pandemic. A time-frequency analysis
by Manuel Monge - 40-49 The relationship between shipping freight rates and inflation in the Euro Area
by Nektarios A. Michail & Konstantinos D. Melas & Lena Cleanthous - 50-52 Editorial
by Romain Houssa & Xavier Debrun - 53-55 Macroprudential policy: New challenges
by Camille Cornand & Cyriac Guillaumin & Julien Idier - 56-76 A non-parametric assessment of the effects of the Euro on GVC trade
by Pierluigi Montalbano & Silvia Nenci & Laura Dell'Agostino - 77-90 The COVID-19 pandemic, policy responses and stock markets in the G20
by Guglielmo Maria Caporale & Woo-Young Kang & Fabio Spagnolo & Nicola Spagnolo - 91-105 Bayesian model averaging approach of the determinants of foreign direct investment in Africa
by Kazeem Bello Ajide & Ridwan Lanre Ibrahim - 106-123 To consolidate or not to consolidate? A multi-step analysis to assess needed fiscal sustainability
by António Afonso & José Alves & João Tovar Jalles - 124-142 Inflation and unemployment, new insights during the EMU accession
by Jean-Louis Combes & Pierre Lesuisse - 143-156 On the political economy of trade agreements: A de jure and de facto analysis of institutions
by Asmaa Ezzat & Chahir Zaki - 157-167 Improved output gap estimates and forecasts using a local linear regression
by Marlon Fritz - 168-189 MaGE 3.1: Long-term macroeconomic projections of the World economy
by Erica Perego & Lionel Fontagné & Gianluca Santoni - 190-202 Making the EU cohesion policy work to support exports at time of Covid-19: Evidence on the Italian regions
by R. Boffardi & P. Di Caro & R. Arbolino - 203-216 European investment bank loan appraisal, the EU climate bank?
by Antoine Ebeling - 217-226 This time is different: Fiscal response to the COVID-19 pandemic among EU countries
by Bettina Bökemeier & Marcin Wolski - 227-237 Does FDI have differential impacts on exports? Evidence from developing countries
by Pravakar Sahoo & Ranjan Kumar Dash - 238-254 Green bonds and oil price shocks and uncertainty: A safe haven analysis
by Khaled Mokni & Walid Mensi & Shawkat Hammoudeh & Ahdi Noomen Ajmi - 255-277 Reshoring and plant closures in Covid-19 times: Evidence from Italian MNEs
by Enrica Di Stefano & Giorgia Giovannetti & Michele Mancini & Enrico Marvasi & Giulio Vannelli - 278-296 Aid allocation: The role of external discipline
by François Bourguignon & Jean-Philippe Platteau - 297-310 Delays in public investment projects
by Raphael Espinoza & Andrea F. Presbitero - 311-323 Moral hazard index for credit risk to SMEs
by José A. Castillo & Andrés Mora-Valencia & Javier Perote - 324-330 A time to build: Does technical assistance matter for revenue mobilization?
by Ralph Chami & Elorm Darkey & Oral Williams - 331-348 Abnormal pricing in international commodity trading: Evidence from Ghana
by Ama A. Ahene-Codjoe & Angela A. Alu & Rahul Mehrotra - 349-367 When do we repair the roof? Insights from responses to fiscal crisis early warning signals
by Jiro Honda & René Tapsoba & Ismael Issifou - 368-388 Eurobonds, debt sustainability and macroeconomic performance in Africa: Synthetic control experiments
by Chuku Chuku & Mustafa Yasin Yenice - 389-402 Capital ratios and banking crises in the European Union
by Raphaël Cardot-Martin & Fabien Labondance & Catherine Refait-Alexandre - 403-413 Better safe than sorry: Macroprudential policy, Covid 19 and climate change
by Gaëtan Le Quang & Laurence Scialom - 414-430 Prudential policy spillovers: How do international bank flows react to French policies?
by Stéphane Dées & Julio Ramos-Tallada - 421-462 A theoretical foundation for prudential authorities decision making
by Cristina Badarau & Corentin Roussel - 431-450 Does pandemic risk affect yield spreads in the EMU?
by Iuliana Matei
2022, Issue 171
- 1-17 “There is No vaccine for climate change” - How well Governments’COVID-19 green stimulus announcements contribute to business sustainability?
by Refk Selmi & Farid Makhlouf & Kamal Kasmaoui & Youssef Errami & Oussama Ben Atta - 18-29 Does foreign investment crowd in domestic investment? Evidence from Vietnam
by Van Ha & Mark J. Holmes & Tuyen Quang Tran - 30-48 Firm-level policy support during the crisis: So far, so good?
by Péter Harasztosi & Laurent Maurin & Rozália Pál & Debora Revoltella & Wouter van der Wielen - 49-57 The economic and welfare state determinants of well-being in Europe
by Mariangela Bonasia & Oreste Napolitano & Fabio Spagnolo & Nicola Spagnolo - 80-109 Trade and structural change: An empirical investigation
by Mariarosaria Comunale & Giulia Felice - 80-109 Green energy indices & financial markets: An in-depth look
by Capucine Nobletz - 110-129 Trade credit and global value chain: Evidence from cross-country firm-level data
by Doan Ngoc Thang & Le Thanh Ha - 130-142 Consistency of micro- and macro-level data on global value chains: Evidence from selected European countries
by A. Giunta & P. Montalbano & S. Nenci - 143-173 Are there any robust determinants of growth in Europe? A Bayesian Model Averaging approach
by Sara D'Andrea - 174-190 Common and idiosyncratic movements in Latin-American exchange rates
by Fredy Gamboa-Estrada & José Vicente Romero - 191-213 Can taxes help ensure a fair globalization?
by François Langot & Rossana Merola & Samil Oh
2022, Issue 170
- 1-31 Searching the nature of uncertainty: Macroeconomic and financial risks VS geopolitical and pandemic risks
by Nicolas Himounet - 32-48 Wealth, price levels, and product quality
by Clemens C. Struck - 49-65 Do globalization and resource rents matter for human well-being? Evidence from African countries
by Issidor Noumba & Armand Gilbert Noula & Stéphane Mbiankeu Nguea - 66-78 Spillovers between exchange rate pressure and CDS bid-ask spreads, reserve assets and oil prices using the quantile ARDL model
by Shawkat Hammoudeh & Walid Mensi & Jin Seo Cho - 79-91 Access to water and sanitation in Africa: Does globalization matter?
by Hervé Kaffo Fotio & Stéphane Mbiankeu Nguea - 80-109 Green energy indices & financial markets: An in-depth look
by Capucine Nobletz - 92-102 Effects of the business cycle on real exchange rate misalignments with respect to exchange rate regimes
by Jihene Jebeniani & Jamel Trabelsi - 103-114 Understanding the transmission of COVID-19 news to French financial markets in early 2020
by Willem Thorbecke - 115-128 Bank credit and economic growth: A dynamic threshold panel model for ASEAN countries
by Sy-Hoa Ho & Jamel Saadaoui - 129-155 Revealed Comparative Advantage and Contribution-to-the-Trade-Balance indexes
by Rémi Stellian & Jenny P. Danna-Buitrago - 156-173 The impact of de facto globalization on carbon emissions: Evidence from Ghana
by Alex O. Acheampong - 174-189 Outward FDI and exports relation: A heterogeneous panel approach dealing with cross-sectional dependence
by Adolfo Maza & Paula Gutiérrez-Portilla - 190-201 Trade and business cycle synchronization: The role of common trade partners
by Nestor Azcona - 202-212 Measuring exchange rate risks during periods of uncertainty
by Laurent Ferrara & Joseph Yapi - 213-234 Non-fundamental home bias in international equity markets
by Gyu Hyun Kim & Hoffmann Kim - 235-247 A consolidated-by-nationality approach to Irish foreign exposure
by André Sanchez Pacheco
2022, Issue 169
- 1-12 A proposal of a suspicion of tax fraud indicator based on Google trends to foresee Spanish tax revenues
by Manuel Monge & Carlos Poza & Sofía Borgia - 13-29 The financial development impact of financial globalization revisited: A focus on OECD countries
by Olufemi Adewale Aluko & Eric Evans Osei Opoku - 30-42 Financial and economic development in the context of the global 2008-09 financial crisis
by António Afonso & M. Carmen Blanco-Arana - 43-54 Measuring the economic efficiency performance in Latin American and Caribbean countries: An empirical evidence from stochastic production frontier and data envelopment analysis
by Matheus Koengkan & José Alberto Fuinhas & Emad Kazemzadeh & Fariba Osmani & Nooshin Karimi Alavijeh - 50-70 The determinants and cyclicality of fiscal policy: Empirical evidence from East Africa
by Joseph Mawejje & Nicholas M. Odhiambo - 71-88 Does foreign aid impede economic complexity in developing countries?
by Brice Kamguia & Sosson Tadadjeu & Clovis Miamo & Henri Njangang - 89-97 The impact of economic policy uncertainty on banks' non-interest income activities
by Whelsy Boungou & Charles Mawusi - 98-134 Does domestic investment respond to inflation targeting? A synthetic control investigation
by Nadine McCloud - 135-147 Mapping the emergence and diffusion of climate-related financial policies: Evidence from a cluster analysis on G20 countries
by Paola D'Orazio - 148-160 Has the Global Financial Crisis increased wealth inequality?
by Maria Shchepeleva & Mikhail Stolbov & Laurent Weill - 161-174 Trade shocks and labour market resilience in Sub-Saharan Africa: Does the franc zone response differently?
by Tii N. Nchofoung - 175-190 Mexico needs a fiscal twist: Response to Covid-19 and beyond
by Swarnali Ahmed Hannan & Keiko Honjo & Mehdi Raiss - 191-207 Invoicing Currency and Symmetric Pass-Through of Exchange Rates and Tariffs: Evidence from Malawian Imports from the EU
by Angella Faith Montfaucon - 208-229 Economic sentiments and international risk sharing
by Daragh Clancy & Lorenzo Ricci - 230-251 Foreign investors and target firms’ financial structure
by Lorenzo Bencivelli & Beniamino Pisicoli - 252-268 Does something change in the oil market with the COVID-19 crisis?
by Dan Zhang & Arash Farnoosh & Frédéric Lantz - 269-290 The impact of global value chain participation on income inequality
by Nur Carpa & Inmaculada Martínez-Zarzoso - 291-308 A highway across the Atlantic? Trade and welfare effects of the EU-Mercosur agreement
by Jacopo Timini & Francesca Viani
2021, Issue 168
- 1-9 Short and long run environmental tax buoyancy in EU-28: a panel study
by Gianluigi De Pascale & Mariantonietta Fiore & Francesco Contò - 10-24 Nowcasting Russian GDP using forecast combination approach
by Michael Zhemkov - 25-39 How to simulate international economic sanctions: A multipurpose index modelling illustrated with EU sanctions against Russia
by Morad Bali & Nady Rapelanoro - 40-55 New insights on the debt-growth nexus: A combination of the interactive fixed effects and panel threshold approach
by Yacouba Kassouri & Halil Altintas & Erdal Alancioglu & Kacou Yves Thierry Kacou - 56-75 Economic sentiment indicators and foreign direct investment: Empirical evidence from European Union countries
by Andrzej Cieslik & Mahdi Ghodsi - 76-97 Dependence structure between oil price volatility and sovereign credit risk of oil exporters: Evidence using a copula approach
by Yao Axel Ehouman - 115-131 Service characteristics and the choice between exports and FDI: Evidence from Belgian firms
by Leo Sleuwaegen & Peter M. Smith
2021, Issue 167
- 1-14 Effects of governance quality on exports in Sub-Saharan Africa
by Mamadou Bah & Henri Atangana Ondoa & Koffi Délali Kpognon - 15-28 Financial inclusion, income inequality, and institutions in sub-Saharan Africa: Identifying cross-country inequality regimes
by Relwendé Sawadogo & Gervasio Semedo - 29-38 Inflation-targeting and inflation volatility: International evidence from the cosine-squared cepstrum
by Nikolaos Antonakakis & Christina Christou & Luis A. Gil-Alana & Rangan Gupta - 39-49 Oil price volatility in the context of Covid-19
by David Bourghelle & Fredj Jawadi & Philippe Rozin - 50-58 FX markets’ reactions to COVID-19: Are they different?
by Walter Bazán-Palomino & Diego Winkelried - 59-77 The US shale gas revolution: An opportunity for the US manufacturing sector?
by Yassine Kirat - 78-87 Is there any information content of traded stocks in an emerging market? Evidence from Vietnam
by Bao Doan & Duc Hong Vo - 88-95 U.S. historical initial jobless claims. Is it different with the coronavirus crisis? A fractional integration analysis
by Manuel Monge - 96-107 What moves housing markets: A state-space approach of the price-income ratio
by Majid Haghani Rizi - 108-119 Robots are not always bad for employment and wages
by Tiago Neves Sequeira & Susana Garrido & Marcelo Santos - 120-135 Uncovering the implicit short-term inflation target of the Bank of England
by Sheng Zhu & Ella Kavanagh & Niall O'Sullivan - 136-150 Economic policy uncertainty and the volatility connectedness between oil shocks and metal market: An extension
by Johnson A. Oliyide & Oluwasegun B. Adekoya & Muhammad A. Khan - 151-173 Dynamic effects of trade barriers with speculation on foreign currency: The case of Iran
by Mohammad Hossein Rahmati & Mehran Ebrahimian & Seyed Ali Madanizadeh - 174-188 Twin trade shocks: Spillovers from US-China trade tensions
by Alexei Kireyev & Andrei Leonidov - 189-205 Measuring size distortions of location quotients
by Matias Nehuen Iglesias - 206-228 External and internal exchange rates and the Dutch disease: Evidence from a panel of oil-exporting African countries
by Edouard Mien
2021, Issue 166
- 1-22 Dynamic optimal portfolio choice under time-varying risk aversion
by Antonio Díaz & Carlos Esparcia - 23-41 Understanding China's role in recent debt relief operations: A case study analysis
by Gatien Bon & Gong Cheng - 42-57 Frequency domain analysis and filtering of business and consumer survey expectations
by Oscar Claveria & Enric Monte & Salvador Torra - 58-70 Economic growth and corruption in emerging markets: Does economic freedom matter?
by Leonardo Köppe Malanski & Angela Cristiane Santos Póvoa - 71-94 The impact of services trade restrictiveness on food trade
by Amara Zongo - 95-115 The impact of regulatory distance from global standards on a country’s centrality in global value chains
by Tomohiko Inui & Kenta Ikeuchi & Ayako Obashi & Qizhong Yang - 116-125 Examining the impact of ICT, human capital and carbon emissions: Evidence from the ASEAN economies
by Hazwan Haini - 126-139 Diversification potential in real estate portfolios
by Bertrand Candelon & Franz Fuerst & Jean-Baptiste Hasse Pages 126-139 Download PDF Data, Tools and Replication Section - 140-166 The International Trade and Production Database for Estimation (ITPD-E)
by Ingo Borchert & Mario Larch & Serge Shikher & Yoto V. Yotov - 167-176 The discount factor for expected fundamentals: Evidence from a panel of 25 exchange rates
by Phornchanok Cumperayot & Roy Kouwenberg
2021, Issue 165
- 1-13 Protectionism and international trade: A long-run view
by Tullio Gregori - 14-36 Too much finance or too many weak instruments?
by Maxime Fajeau - 37-50 Dynamic relations between oil and stock markets: Volatility spillovers, networks and causality
by Jose E. Gomez-Gonzalez & Jorge Hirs-Garzón & Sebastián Sanín-Restrepo - 51-66 Economic activity, and financial and commodity markets’ shocks: An analysis of implied volatility indexes
by Christian Urom & Gideon Ndubuisi & Jude Ozor - 67-84 Exchange rates and fundamentals: Further evidence based on asymmetric causality test
by Siew-Voon Soon & Ahmad Zubaidi Baharumshah - 85-93 Twin balances, public governance and private investment: Quantile estimation for OECD countries
by Thanh Dinh Su & Canh Phuc Nguyen - 94-117 MULTIPRIL, a New Database on Multilateral Price Levels and Currency Misalignments
by Cécile Couharde & Carl Grekou & Valérie Mignon - 121-139 New evidence on international risk-sharing in the Economic Community of West African States (ECOWAS)
by Stéphane Zouri - 140-153 The energy transition, Trump energy agenda and COVID-19
by Refk Selmi & Jamal Bouoiyour & Shawkat Hammoudeh & Youssef Errami & Mark E. Wohar - 154-171 Regional and global patterns of participation in value chains: Evidence from Brazil
by Inácio Fernandes de Araújo & Fernando Salgueiro Perobelli & Weslem Rodrigues Faria - 172-185 Bilateral investment treaties and backward linkages in Sub-Saharan Africa
by Vito Amendolagine & Francesco Prota - 186-203 Global imbalances, external adjustment and propagated shocks: An African perspective from a global VAR model
by Oyeyinka S. Omoshoro-Jones & Lumengo Bonga-Bonga - 204-217 Export performance and capacity pressures in Central and Eastern Europe
by Karsten Staehr - 218-240 Income inequality, human capital and terrorism in Africa: Beyond exploratory analytics
by Kazeem B. Ajide & Olorunfemi Y. Alimi - 241-263 Impact of the ECB Quantitative Easing on the International Investment Position
by Rafael Cezar & Maéva Silvestrini - 264-277 Environmental regulation and productivity growth: Main policy challenges
by R. De Santis & P. Esposito & C. Jona Lasinio
2020, Issue 164
- 1-17 Exports to China and economic growth in Latin America, unequal effects within the region
by Julio César Arteaga & Mónica Liseth Cardozo & Márcia Jucá T. Diniz - 18-35 Oil price jumps and the uncertainty of oil supplies in a geopolitical perspective: The role of OPEC’s spare capacity
by Refk Selmi & Jamal Bouoiyour & Amal Miftah - 36-47 Rediscovering the EKC hypothesis for the 20 highest CO2 emitters among OECD countries by level of globalization
by Patrícia Hipólito Leal & António Cardoso Marques - 48-68 Understanding how foreign direct investment inflows impact urbanization in Africa
by Carl Grekou & Ferdinand Owoundi - 69-85 Better the devil you know: Home and sectoral biases in bank lending
by A. Burietz & L. Ureche-Rangau - 86-114 A case for leaning against the wind in a commodity-exporting economy
by FrIrina Kozlovtceva & Alexey Ponomarenko & Andrey Sinyakov & Stas Tatarintsev - 115-139 Extension of the Fama and French model: A study of the largest European financial institutions
by Francisco Jareño & María de la O González & Alba M. Escolástico - 140-150 The drivers of economic complexity: International evidence from financial development and patents
by Canh Phuc Nguyen & Christophe Schinckus & Thanh Dinh Su - 151-167 Classification of transfer pricing systems across countries
by Alex A.T. Rathke & Amaury J. Rezende & Christoph Watrin - 168-182 Economic complexity, human capital, and FDI attraction: A cross country analysis
by Pegah Sadeghi & Hamid Shahrestani & Kambiz Hojabr Kiani & Taghi Torabi - 183-193 Do structural shocks in the crude oil market affect biofuel prices?
by Aktham I. Maghyereh & Osama D. Sweidan - 194-205 Global value chains and the missing link between exchange rates and export diversification
by Thi Anh-Dao Tran & Minh Hong Phi & Long Thai - 206-2016 Fettered cross-border capital flows, external finance dependence, and international trade
by Gideon Ndubuisi - 217-240 Three-player sovereign debt negotiations
by Ilaf Elard
2020, Issue 163
- 1-24 Real exchange rate misalignments in developing countries: The role of exchange rate flexibility and capital account openness
by Wishnu Mahraddika - 25-43 Business cycles, bilateral trade and financial integration: Evidence from Economic Community of West African States (ECOWAS)
by Stéphane Zouri - 44-57 The threshold of absorptive capacity: The case of Vietnamese manufacturing firms
by Vu Hoang Duong - 58-71 On the effect of credit rating announcements on sovereign bonds: International evidence
by Dimitrios Kenourgios & Zaghum Umar & Paraskevi Lemonidi - 72-91 Expectations anchoring indexes for Brazil using Kalman filter: Exploring signals of inflation anchoring in the long term
by Fernando Nascimento de Oliveira & Wagner Piazza Gaglianone - 92-100 Investment confidence and regional trade agreements with the United States
by Alberto Chong & Carla Srebot - 101-113 Policy uncertainty and consumption in G7 countries: An asymmetry analysis
by Mohsen Bahmani-Oskooee & Majid Maki Nayeri - 114-133 The impact of future power generation on cement demand: An international and regional assessment based on climate scenarios
by Emmanuel Hache & Marine Simoën & Gondia Sokhna Seck & Clément Bonnet & Aymen Jabberi - 134-146 Cross-country convergence in global value chains: Evidence from club convergence analysis
by Bhushan Praveen Jangam & Badri Narayan Rath - 147-154 Tracking fiscal discipline. Looking for a PIIGS on the wing
by David Neto - 155-162 Loan growth, capitalization, and credit risk in Islamic banking
by Muhammad Sobarsyah & Wahyoe Soedarmono & Wahdi Salasi Apri Yudhi & Irwan Trinugroho & Ari Warokka - 163-175 A real time leading economic indicator based on text mining for the Spanish economy. Fractional cointegration VAR and Continuous Wavelet Transform analysis
by Carlos Poza & Manuel Monge
2020, Issue 162
- 1-14 Manufacturing firms’ export activity: Business and financial cycles overlaps!
by Juan Laborda & Vicente Salas & Cristina Suárez - 15-33 Role of capital flight as a driver of sovereign bond spreads in Latin American countries
by Hajer Dachraoui & Mounir Smida & Maamar Sebri - 34-49 Insulating property of the flexible exchange rate regime: A case of Central and Eastern European countries
by Marek A. Dabrowski & Justyna Wróblewska - 50-66 Natural resource rents, political regimes and terrorism in Africa
by Kazeem B. Ajide & Juliet I. Adenuga & Ibrahim D. Raheem - 67-79 Growth accounting and regressions: New approach and results
by Tiago Sequeira & Hugo Morão - 80-91 Mexican peso-USD exchange rate: A switching linear dynamical model application
by Dayna P. Saldaña-Zepeda & Ciro Velasco-Cruz & Víctor H. Torres-Preciado - 92-109 Collateral damage: The Western sanctions on Russia and the evaluation of implications for Russia’s post-communist neighbourhood
by Vugar Bayramov & Nabi Rustamli & Gulnara Abbas
2020, Issue 161
- 1-9 NAFTA and the convergence of CO2 emissions intensity and its determinants
by Nicholas Apergis & James E. Payne - 10-29 Regime dependent effects and cyclical volatility spillover between crude oil price movements and stock returns
by Christian Urom & Kevin O. Onwuka & Kalu E. Uma & Denis N. Yuni - 30-40 The role of carry trades on the effectiveness of Japan's quantitative easing
by Thomas Chuffart & Cyril Dell'Eva - 41-55 Understanding the dynamics of foreign reserve management: The central bank intervention policy and the exchange rate fundamentals
by Idil Uz Akdogan - 56-65 How do human rights violations affect poverty and income distribution?
by Nicholas Apergis & Arusha Cooray - 66-82 Tail dependence structures between economic policy uncertainty and foreign exchange markets: Nonparametric quantiles methods
by Khamis Hamed Al-Yahyaee & Syed Jawad Hussain Shahzad & Walid Mensi - 83-99 Inequality, poverty and economic growth
by Robert Breunig & Omer Majeed - 100-119 Arab geopolitics in turmoil: Implications of Qatar-Gulf crisis for business
by Refk Selmi & Jamal Bouoiyour - 120-129 Investigating Asian regional income convergence using Fourier Unit Root test with Break
by OlaOluwa S. Yaya & Fumitaka Furuoka & Kiew Ling Pui & Ray Ikechukwu Jacob & Chinyere M. Ezeoke - 130-138 Halloween Effect in developed stock markets: A historical perspective
by Alex Plastun & Xolani Sibande & Rangan Gupta & Mark E. Wohar - 139-158 The post-crises output growth effects in a globalized economy
by Bertrand Candelon & Alina Carare & Jean-Baptiste Hasse & Jing Lu - 159-172 Determinants of foreign direct investment inflows: The role of economic policy uncertainty
by Nguyen Phuc Canh & Nguyen Thanh Binh & Su Dinh Thanh & Christophe Schinckus - 173-187 Growing external debt and declining export: The concurrent impediments in economic growth of Sub-Saharan African countries
by Samson Edo & Nneka Esther Osadolor & Isuwa Festus Dading - 188-198 Constrained Poisson pseudo maximum likelihood estimation of structural gravity models
by Michael Pfaffermayr - 219-236 Are global value chains receding? The jury is still out. Key findings from the analysis of deflated world trade in parts and components
by Guillaume Gaulier & Aude Sztulman & Deniz Ünal - 237-247 Measuring the Balassa-Samuelson effect: A guidance note on the RPROD database
by Cécile Couharde & Anne-Laure Delatte & Carl Grekou & Valérie Mignon & Florian Morvillier
2019, Issue 160
- 1-2 Editorial, International Economics
by Sébastien Jean & Mario Larch & Valérie Mignon - 3-13 The nonlinear relationship between economic growth and financial development: Evidence from developing, emerging and advanced economies
by Jaroslava Botev & Balázs Égert & Fredj Jawadi - 14-30 Political uncertainty and financial market reactions: A new test
by Huiqiang Wang & Annie L. Boatwright - 31-42 Who's winning the low-carbon innovation race? An assessment of countries' leadership in renewable energy technologies
by Clément Bonnet & Emmanuel Hache & Gondia Sokhna Seck & Marine Simoën & Samuel Carcanague - 43-55 The impact of public capital stock on energy consumption: Empirical evidence from Latin America and the Caribbean region
by Matheus Koengkan & Renato Santiago & José Alberto Fuinhas - 56-71 Who leads the inflation cycle in Europe? Inflation cycle and spillover influence among Eurozone and non-Eurozone economies
by Sang Hoon Kang & Jose Arreola Hernandez & Seong-Min Yoon - 72-83 The impact of biofuels on food security
by Yogeeswari Subramaniam & Tajul Ariffin Masron & Nik Hadiyan Nik Azman - 84-89 A practical routine to harmonize product classifications over time
by Nicole Bellert & Dario Fauceglia
2019, Issue 159
- 1-17 Banking competition, financial dependence and productivity growth in Europe
by Aurélien Leroy - 18-25 Does inequality really matter in forecasting real housing returns of the United Kingdom?
by Hossein Hassani & Mohammad Reza Yeganegi & Rangan Gupta - 26-35 Frankel and Romer revisited
by Hildegunn Kyvik Nordås - 36-47 Who is hurt by dollar-euro volatility in the euro zone?
by Mohsen Bahmani-Oskooee & Hanafiah Harvey - 48-55 Unemployment effect of WTO ascension: Evidence from a natural experiment
by Chinedu Increase Onwachukwu & Ekene Francis Okagbue - 56-73 The technical decomposition of carbon emissions and the concerns about FDI and trade openness effects in the United States
by Muhammad Shahbaz & Giray Gozgor & Philip Kofi Adom & Shawkat Hammoudeh - 74-93 Intelligent forecasting of economic growth for developing economies
by Chuku Chuku & Anthony Simpasa & Jacob Oduor - 94-104 Bank consolidation and financial stability in Indonesia
by Inka Yusgiantoro & Wahyoe Soedarmono & Amine Tarazi - 105-120 Product relatedness in the extensive margin of bilateral trade
by Paras Kharel - 121-139 China's “New normal”: Will China's growth slowdown derail the BRICS stock markets?
by Refk Selmi & Jamal Bouoiyour & Amal Miftah - 140-150 Testing the Fisher hypothesis in the G-7 countries using I(d) techniques
by Guglielmo Maria Caporale & Luis Gil-Alaña - 151-164 How much will the Belt and Road Initiative reduce trade costs?
by François de Soyres & Alen Mulabdic & Siobhan Murray & Nadia Rocha & Michele Ruta
2019, Issue 158
- 1-11 Understanding the non-Gaussian distribution of revealed comparative advantage index and its alternatives
by Bin Liu & Jianbo Gao - 12-24 Are “twin deficits” asymmetric? Evidence on government budget and current account balances, 1870–2013
by Georgios Karras - 25-38 Testing the globalization-driven carbon emissions hypothesis: International evidence
by Muhammad Shahbaz & Mantu Kumar Mahalik & Syed Jawad Hussain Shahzad & Shawkat Hammoudeh - 39-50 Does international reserve accumulation crowd out domestic private investment?
by Wishnu Mahraddika