Bulletin of Economic Research
1970 - 2025
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Volume 73, month 10, 2021
- More than words: Foreign exchange intervention under imperfect credibility pp. 499-507

- Jose Eduardo Gomez‐Gonzalez, Julian Andres Parra‐Polania and Mauricio Villamizar‐Villegas
- Reassessing the inflation uncertainty‐inflation relationship in the tails pp. 508-534

- Georgios Bampinas, Panagiotis Konstantinou and Theodore Panagiotidis
- Market power evolution and convergence in European banking: An empirical note pp. 535-544

- Canan Yildirim and Adnan Kasman
- An econometric analysis of salience theory pp. 545-554

- Kelvin Balcombe, Iain Fraser and Abhijit Sharma
- Dynamics of inequality and opportunities within European countries pp. 555-579

- Ana Suárez Álvarez and Ana López-Menéndez
- Securitization of assets and risk transfer in a large emerging market: Evidence from Brazil pp. 580-605

- Helder de Mendonça and Vívian Íris Barcelos
- Can foreign direct investment foster the manufacturing industries’ spatial total factor productivity convergence in a transition economy? An empirical approach from Vietnam pp. 606-623

- Anh Tuan Pham, Minh Khac Nguyen, Hoang Linh Dang and Thi Xuan Thu Nguyen
- The effect of class size on grades and course evaluations: Evidence from multisection courses pp. 624-642

- Alexei Karas
- A new Keynesian model with unemployment: The effect of on‐the‐job search pp. 643-659

- Zeynep Kantur and Kerim Keskin
- Households saving and financial spillovers in the Euro area pp. 660-687

- Cristina Badarau, Florence Huart and Ibrahima Sangaré
- Risk perception with imperfect information and social interactions: Understanding group polarization pp. 688-703

- Jacques Pelletan
- Non‐renewable resources and the possibility of sustainable economic development in an economy with positive or negative population growth pp. 704-720

- Hiroaki Sasaki
- Optimal intervention in a random‐matching model of money pp. 721-735

- Wataru Nozawa and Hoonsik Yang
- Banking crises and economic growth in developing countries: Why privileging foreign direct investment over external debt? pp. 736-761

- Brahim Gaies and Mahmoud Nabi
- Are central banks to blame? Monetary policy and bank lending behavior pp. 762-779

- Nektarios Michail, Christos Savva and Demetris Koursaros
- The Black–White wage gap among young men in 1990 versus 2011: With sample selection adjustments pp. 780-805

- Jeremiah Richey and Nikolas Tromp
Volume 73, month 07, 2021
- On the neutrality of the exchange rate regime regarding real misalignments: Evidence from sub‐Saharan Africa pp. 327-345

- Ferdinand Owoundi and Jacques Landry Bikai
- A panel data analysis of FDI and informal labour markets pp. 346-363

- Antonio Baez‐Morales
- Oil price shocks, real economic activity and uncertainty pp. 364-392

- Amélie Charles, Chew Lian Chua, Olivier Darné and Sandy Suardi
- A side effect of a broker's expertise in clientelism: A lab‐experimental study pp. 393-410

- Han Il Chang
- Does economic complexity reduce output volatility in developing countries? pp. 411-431

- Barbaros Güneri and A. Yasemin Yalta
- Dynamics of crude oil price shocks and major Latin American Equity Markets: A study in time and frequency domains pp. 432-455

- Bahram Adrangi, Arjun Chatrath, Joseph Macri and Kambiz Raffiee
- Environmental policy and social status preference for education in an Uzawa–Lucas model pp. 456-468

- Yoshihiro Hamaguchi
- Nonlinear relationships between inflation, output growth and uncertainty in India: New evidence from a bivariate threshold model pp. 469-493

- Kushal Banik Chowdhury, Kaustav Kanti Sarkar and Srikanta Kundu
Volume 73, month 04, 2021
- Pre‐planning and its effects on repeated dishonest behavior: An experiment pp. 143-153

- Subhasish Chowdhury, Chulyoung Kim and Sang‐Hyun Kim
- R&D Information sharing in a mixed duopoly and incentive subsidy for research joint venture competition pp. 154-170

- Sang-Ho Lee and Timur Muminov
- Cooperative managerial delegation revisited: Including the firm's cost as a managerial objective pp. 171-178

- Kojun Hamada
- Recessions and potential GDP: The case of Mexico pp. 179-195

- Daniel Ventosa‐Santaulària, Luis G. Hernández‐Román and Alejandro Villagómez Amezcua
- Buyer power, product assortment and asymmetric retail formats pp. 196-211

- Ramon Fauli‐Oller and Joel Sandonís
- Bootstrap tests for structural breaks when the regressors and the serially correlated error term are unstable pp. 212-229

- Dong Jin Lee
- Inflation expectations of households in India: Role of oil prices, economic policy uncertainty, and spillover of global financial uncertainty pp. 230-251

- Taniya Ghosh, Sohini Sahu and Siddhartha Chattopadhyay
- Efficiency in the transformation of schooling into competences: A cross‐country analysis using PIAAC data pp. 252-275

- Jorge Calero, Inés P. Murillo Huertas and José L. Raymond
- Are local workers better‐off from foreign presence? A firm‐level panel data analysis of a service industry pp. 276-294

- Dao Thi Hong Nguyen
- DSGE modelling for the UK economy 1974–2017 pp. 295-323

- Ioannis Litsios, Keith Pilbeam and Dimitrios Asteriou
Volume 73, month 01, 2021
- Spillover effects of fiscal policy in a monetary union: Why do fiscal instruments matter? pp. 1-33

- Amélie Barbier‐Gauchard and Thierry Betti
- The share of the global energy mix: Signs of convergence? pp. 34-50

- Atanu Ghoshray and Issam Malki
- Revisiting the impact of impure public goods on consumers’ prosocial behavior: A lab experiment in Shanghai pp. 51-66

- Qinxin Guo, Enci Wang, Yongyou Nie and Junyi Shen
- DSGE models, detrending, and the method of moments pp. 67-99

- Charles Olivier Mao Takongmo
- Technology selling and innovation with bargaining pp. 100-107

- Swapnendu Banerjee (Bandyopadhyay), Yuanzhu Lu and Sougata Poddar
- How does public spending affect technical efficiency? Some evidence from 15 European countries pp. 108-130

- Sabrina Auci, Laura Castellucci and Manuela Coromaldi
- Reciprocity Game pp. 131-141

- Linfeng Chen
Volume 72, month 10, 2020
- A new approach to measuring universal banking pp. 353-379

- Mimoza Shabani and Carmela D'Avino
- Does greater income inequality cause increased work hours? New evidence from high income economies pp. 380-392

- Constantinos Alexiou and Adimulya Kartiyasa
- A probabilistic interpretation of the constant gain learning algorithm pp. 393-403

- Michele Berardi
- A measurement of affluence and poverty interdependence across countries: Evidence from the application of tail copula pp. 404-416

- Roman Matkovskyy
- Technology licensing or cost‐reducing outsourcing? Game theoretical analysis on consumers' home bias effects and firms' optimal strategies pp. 417-433

- Tai‐Liang Chen and Zuyi Huang
- Testing for the effects of credit crunch on agriculture investment in the EU pp. 434-450

- Emmanuel Mamatzakis and Christos Staikouras
- Fourier nonlinear quantile unit root test and PPP in Africa pp. 451-481

- Mohsen Bahmani‐Oskooee, Tsangyao Chang, Farhang Niroomand and Omid Ranjbar
Volume 72, month 07, 2020
- Optimal privatization policy with asymmetry among private firms pp. 213-224

- Junichi Haraguchi and Toshihiro Matsumura
- Monetary policy under a multiple‐tool environment pp. 225-250

- Serdar Varlik and M. Hakan Berument
- Mini flash crashes: Review, taxonomy and policy responses pp. 251-271

- Floris Laly and Mikael Petitjean
- Random forests and selected samples pp. 272-287

- Jonathan A. Cook and Saad Siddiqui
- Experimental evidence on personality traits and preferences pp. 288-317

- Jim Engle‐Warnick, Sonia Laszlo and Nagham Sayour
- Location decision of managerial firms in an unconstrained Hotelling model pp. 318-332

- Leonard F. S. Wang and Domenico Buccella
- Beyond the efficient markets hypothesis: Towards a new paradigm pp. 333-351

- John Fender
Volume 72, month 04, 2020
- Bertrand versus Cournot competition in a downstream mixed oligopoly with foreign ownership pp. 101-120

- Ki-Dong Lee, Sunghee Choi and Kangsik Choi
- The relationship between tax rates and tax revenues in eurozone member countries ‐ exploring the Laffer curve pp. 121-145

- Alexandra Lopes, Luis Martins and Ruben Espanhol
- Optimal portfolio choices using financial leverage pp. 146-166

- Ricardo Laborda and Jose Olmo
- Monetary base and federal government debt in the long‐run: A non‐linear analysis pp. 167-184

- Haydory Akbar Ahmed
- Inequality and growth: What comes from the different inequality measures? pp. 185-212

- Jakub Bartak and Łukasz Jabłoński
Volume 72, month 01, 2020
- Free trade and economic growth: The role of talent diversity pp. 1-13

- Chen Fang, Kuo‐Hsing Kuo and Cheng‐Te Lee
- Employment in family managed firms: Less but safe? Analysing labour demand of German family managed firms with a treatment model for panel data pp. 14-32

- Arnd Kölling
- Are individuals with entrepreneurial characteristics more likely to engage in destruction? An experimental investigation among potential 21st century entrepreneurs in Tunisia pp. 33-49

- Sana El Harbi, Gilles Grolleau, Angela Sutan and Zeyneb Ben Ticha
- Is real per capita state personal income stationary? New nonlinear, asymmetric panel‐data evidence pp. 50-62

- Furkan Emirmahmutoglu, Rangan Gupta, Stephen Miller and Tolga Omay
- An analysis of innovation in textile companies: An efficiency approach pp. 63-76

- Rosa Puertas Medina, M. Luisa Martí Selva and Consuelo Calafat Marzal
- Self serving reference points in k−double auctions pp. 77-85

- Husnain Fateh Ahmad
- Time varying structural VARs with sign restrictions: The case of Taiwan pp. 86-100

- Kuo‐Hsuan Chin