Economic Modelling
1984 - 2025
Current editor(s): S. Hall and P. Pauly From Elsevier Bibliographic data for series maintained by Catherine Liu (). Access Statistics for this journal.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
Volume 94, issue C, 2021
- Evidence on time-varying inflation synchronization pp. 1-13

- Karol Szafranek
- The effect of information frictions on FDI persistence pp. 14-27

- Maroula Khraiche and Pedro de Araujo
- Can human development and political stability improve environmental quality? New evidence from the MENA region pp. 28-44

- Zouhair Mrabet, Mouyad Alsamara, Karim Mimouni and Ayman Mnasri
- “The buck stops with the executives”: Assessing the impact of workforce composition and cultural distance on French firms’ exports pp. 45-57

- Raphaël Chiappini and Yves Jégourel
- Counterparty choice in the UK credit default swap market: An empirical matching approach pp. 58-74

- Gerardo Ferrara, Jun Sung Kim, Bonsoo Koo and Zijun Liu
- Price explosiveness in nonferrous metal futures markets pp. 75-90

- Richie Ruchuan Ma and Tao Xiong
- Sectoral Okun's law and cross-country cyclical differences pp. 91-103

- Eiji Goto and Constantin Bürgi
- The effect of financial fragility on employment pp. 104-120

- Michael Chletsos and Andreas Sintos
- How do powerful CEOs influence corporate environmental performance? pp. 121-129

- Claude Francoeur, Faten Lakhal, Safa Gaaya and Itidel Ben Saad
- Recessions and total factor productivity: Evidence from sectoral data pp. 130-138

- Davide Furceri, Sinem Kilic Celik, Joao Jalles and Ksenia Koloskova
- Does economic policy uncertainty dampen imports? Commodity-level evidence from India pp. 139-149

- Chandan Sharma and Sudharshan Reddy Paramati
- The use of credit cards among low- and middle-income individuals in Colombia and the channels of monetary policy pp. 150-169

- Luis Arango Thomas, Lina Cardona-Sosa and Nataly Pedraza-Jiménez
- Does retail investor attention improve stock liquidity? A dynamic perspective pp. 170-183

- Feiyang Cheng, Chaoshin Chiao, Chunfeng Wang, Zhenming Fang and Shouyu Yao
- Financial spillovers and spillbacks: New evidence from China and G7 countries pp. 184-200

- Yi Fang, Zhongbo Jing, Yukun Shi and Yang Zhao
- Which legal procedure affects business investment most, and which companies are most sensitive? Evidence from microdata pp. 201-220

- Daniel Dejuan-Bitria and Juan Mora-Sanguinetti
- The effect of employment protection legislation on international trade pp. 221-234

- Jayjit Roy
- A consumption-based asset pricing model with disappointment aversion and uncertainty shocks pp. 235-243

- Kaifeng Li, Bobo Xia and Zhaoxuan Guo
- Environmental expenditure interactions among OECD countries, 1995–2017 pp. 244-255

- Julie Le Gallo and Youba Ndiaye
- The reaction of inflation forecasts to news about the Fed pp. 256-264

- Sandeep Mazumder
- Are remittances and foreign aid interlinked? Evidence from least developed and developing countries pp. 265-275

- Syed Ali Abbas, Eliyathamby Selvanathan, Saroja Selvanathan and Jayatilleke S. Bandaralage
- Inequality and conditionality in cash transfers: Demographic transition and economic development pp. 276-287

- Koji Kitaura and Kazutoshi Miyazawa
- Consumption and life insurance decisions under hyperbolic discounting and taxation pp. 288-295

- Ja Eun Koo and Byung Hwa Lim
- Trade models and macroeconomics pp. 296-302

- Ray C. Fair
- How diversification affects bank performance: The role of human capital pp. 303-319

- Kolade Sunday Adesina
- Can traditional farming practices explain attitudes towards scientific progress? pp. 320-339

- Dinithi N. Jayasekara
- Forecasting U.S. Yield Curve Using the Dynamic Nelson–Siegel Model with Random Level Shift Parameters pp. 340-350

- Deqing Luo, Tao Pang and Jiawen Xu
- Asymmetric effects of financial conditions on GDP growth in Korea: A quantile regression analysis pp. 351-369

- Noh-Sun Kwark and Changhyun Lee
- What drives labor share change? Evidence from Korean industries pp. 370-385

- Eunbi Song
- Does corruption matter for stock markets? The role of heterogeneous institutions pp. 386-400

- Geeta Lakshmi, Shrabani Saha and Keshab Bhattarai
- Financial contagion and contagion channels in the forex market: A new approach via the dynamic mixture copula-extreme value theory pp. 401-414

- Haiying Wang, Ying Yuan, Yiou Li and Xunhong Wang
- Statehood experience and income inequality: A historical perspective pp. 415-429

- Trung Vu
- Is military spending converging to a low level across countries? pp. 433-441

- Benedict J. Clements, Sanjeev Gupta and Saida Khamidova
- Modeling retirees’ investment behaviors in the presence of health expenditure risk and financial crisis risk pp. 442-454

- Xiang Gao and Li Sun
- Why socially concerned firms use low-powered managerial incentives: A complementary explanation pp. 473-482

- Michael Kopel and Eva Maria Putz
- Mortgage credit volumes and monetary policy after the Great Recession pp. 483-500

- Shawn Leu and Mari L. Robertson
- Decentralization and firm innovation: Evidence from a natural experiment in China pp. 501-512

- Shasha Liu, Mianmian Ji and Huijuan Wang
- Is Textual Tone Informative or Inflated for Firm’s Future Value? Evidence from Chinese Listed Firms pp. 513-525

- Dong Xiao Wu, Xiao Yao and Jian Luan Guo
- Do we need ramsey taxation? Our existing taxes are largely corrective pp. 526-538

- Eric Yan, Qu Feng and Yew-Kwang Ng
- Policy-related risk and corporate financing behavior: Evidence from China’s listed companies pp. 539-547

- Chi-Chuan Lee, Chien-Chiang Lee and Shunyi Xiao
- Do independent directors restrain controlling shareholders’ tunneling? Evidence from a natural experiment in China pp. 548-559

- Min Gong, Yanan Wang and Xiandong Yang
- Aging, voters and lower income tax: A role for pension design pp. 560-569

- Creina Day and Garth Day
- Investment shocks and inequality dynamics pp. 570-579

- Gunes Gokmen and Annaig Morin
- Increasing public investment can be an effective policy in bad times: Evidence from emerging EU economies pp. 580-597

- Pavle Petrović, Milojko Arsić and Aleksandra Nojković
- The transmission mechanisms of macroprudential policies on bank risk pp. 598-630

- Regis Ely, Benjamin Tabak and Anderson M. Teixeira
- Impact of tighter controls on Japanese chemical exports to Korea pp. 631-648

- Nobuhiro Hosoe
- Symbolic transfer entropy test for causality in longitudinal data pp. 649-661

- Maximo Camacho, Andres Romeu and Manuel Ruiz-Marin
- ICT diffusion, financial development, and economic growth: An international cross-country analysis pp. 662-671

- Chih-Yang Cheng, Mei-Se Chien and Chien-Chiang Lee
- Global supply chain shifting: A macro sense of production relocation based on multi-regional input-output table pp. 672-680

- Xiao-mei Fan and Hong-guang Liu
- The joint spillover index pp. 681-691

- William Lastrapes and Thomas Wiesen
- Business and institutional determinants of Effective Tax Rate in emerging economies pp. 692-702

- Elena Fernández-Rodríguez, Roberto García-Fernández and Antonio Martínez-Arias
- Investor sentiment and stock price: Empirical evidence from Chinese SEOs pp. 703-714

- Yueqin Lan, Yong Huang and Chao Yan
- Explain or conceal? Causal language intensity in annual report and stock price crash risk pp. 715-725

- Dongmin Kong, Lu Shi and Fan Zhang
- Shadow prices of industrial air pollutant emissions in China pp. 726-736

- Yinyin Wu, Jie Yu, Malin Song, Jiandong Chen and Wenxuan Hou
- Scale-adaptive estimation of mixed geographically weighted regression models pp. 737-747

- Feng Chen and Chang-Lin Mei
- Winners and losers of central bank foreign exchange interventions pp. 748-767

- Mădălin Viziniuc
- How does government intervention affect the formation of zombie firms? pp. 768-779

- Qingqing Chang, Yisihong Zhou, Guangqiang Liu, Di Wang and Xiaojie Zhang
- Identifying bubbles and the contagion effect between oil and stock markets: New evidence from China pp. 780-788

- Zhao Zhao, Huwei Wen and Ke Li
- The impact of remittances on savings, capital and economic growth in small emerging countries pp. 789-803

- Zouhair Ait Benhamou and Lesly Cassin
- The interaction between private sector and public sector labor markets: Evidence from Romania pp. 804-821

- Valeriu Nalban and Andra Smădu
- Economic growth, corruption, and financial development: Global evidence pp. 822-830

- Chang-Qing Song, Chun-Ping Chang and Qiang Gong
- The dynamics of global financial cycle and domestic economic cycles: Evidence from India and Indonesia pp. 831-842

- K.P. Prabheesh, Reza Anglingkusumo and Solikin Juhro
- The response of hedge fund tail risk to macroeconomic shocks: A nonlinear VAR approach pp. 843-872

- Greg N. Gregoriou, François-Éric Racicot and Raymond Théoret
- The impact of household real estate and self-employment: Evidence from China pp. 873-884

- Junyi Xiang, Chenhao Liu and Yiming Li
- Risk tolerance and household wealth--Evidence from Chinese households pp. 885-895

- Ming Fang, Haiyang Li and Qin Wang
- BitCoin: A new basket for eggs? pp. 896-907

- Meng Qin, Chi-Wei Su and Ran Tao
- Total factor productivity (TFP) and fiscal consolidation: How harmful is austerity? pp. 908-922

- Ioanna Bardaka, Ioannis Bournakis and Georgia Kaplanoglou
- Do investor relations matter in the tourism industry? Evidence from public opinions in China pp. 923-933

- Mingli Xu, Wei Yang and Zhixiong Huang
- Impact of income inequality and fiscal decentralization on public health: Evidence from China pp. 934-944

- Yu Hao, Jiahui Liu, Zhi-Nan Lu, Ruijie Shi and Haitao Wu
- Does administrative decentralization enhance economic growth? Evidence from a quasi-natural experiment in China pp. 945-952

- Qiang Gong, Chong Liu and Min Wu
- A Sino-US comparative analysis of the hi-tech entrepreneurial model pp. 953-966

- Huihong Shi, Congming Mu, Jinqiang Yang and Wenli Huang
- The effects of productivity and benefits on unemployment: Breaking the link pp. 967-980

- Alessio Brown, Britta Kohlbrecher, Christian Merkl and Dennis J. Snower
- Macroeconomic forecasts and commodity futures volatility pp. 981-994

- Wuyi Ye, Ranran Guo, Bruno Deschamps, Ying Jiang and Xiaoquan Liu
- Risk attitude, financial literacy and household consumption: Evidence from stock market crash in China pp. 995-1006

- Yixing Zhang, Qinmin Jia and Chen Chen
- Does innovation stimulate employment? Evidence from China pp. 1007-1017

- Chen Zhu, Zhiyi Qiu and Fengjun Liu
- Economic policy uncertainty and financial stability–Is there a relation? pp. 1018-1029

- Dinh Phan, Bernard Njindan Iyke, Susan Sunila Sharma and Yoga Affandi
- High-speed rails and rural-urban migrants’ wages pp. 1030-1042

- Dongmin Kong, Lihua Liu and Zhiqing Yang
- The nonlinear connection between 52-week high and announcement effect of insider trading — Evidence from mainland China and Taiwan pp. 1043-1057

- Chien Chi Chu, Chiao Yi Chang and Rui Jie Zhou
- Are loans cheaper when tomorrow seems further? pp. 1058-1065

- Christophe Godlewski and Laurent Weill
| |