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Economic Modelling

1984 - 2025

Current editor(s): S. Hall and P. Pauly

From Elsevier
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Volume 92, issue C, 2020

Are microfinance institutions resilient to economic slowdown? Evidence from their capital ratio adjustment over the business cycle pp. 1-22 Downloads
Issouf Soumaré, Hubert Tchakoute Tchuigoua and Hélyoth T.S. Hessou
Monetary policy and consumers' demand pp. 23-36 Downloads
Lilia Cavallari
Genetic distance, economic growth and top income shares: Evidence from OECD countries pp. 37-47 Downloads
Anjan K. Saha and Vinod Mishra
What drives cross-country differences in export variety? A bilateral panel approach pp. 48-56 Downloads
Aleksandra Parteka
Does bank shareholding impact corporate innovation? Evidence from China pp. 57-69 Downloads
Shaojie Lai, Xiaorong Li and Kam C. Chan
Loss aversion and market crashes pp. 70-86 Downloads
Samuel Ouzan
Determinants of corporate default risk in China: The role of financial constraints pp. 87-98 Downloads
Xuan Zhang, Ruolan Ouyang, Ding Liu and Liao Xu
Food security in Kenya: Insights from a household food demand model pp. 99-108 Downloads
Lilian Korir, Marian Rizov and Eric Ruto
Changing transmission of monetary policy on disaggregate inflation in India pp. 109-125 Downloads
Ankit Kumar and Pradyumna Dash
Trends and cycles under changing economic conditions pp. 126-146 Downloads
Cláudia Duarte, José Maria and Sharmin Sazedj
Antidumping and heterogeneous quality adjustment of multi-product firms: Evidence from Chinese exporters pp. 147-161 Downloads
Ning Meng, Chris Milner and Huasheng Song
Spatial contagion in the subprime crisis context: Adjusted correlation versus local correlation approaches pp. 162-169 Downloads
Imen Zorgati and Faten Lakhal
On government-created credit markets for education and endogenous growth pp. 170-179 Downloads
Elena Del Rey and Miguel-Angel Lopez-Garcia
Country and industry factors in tests of Capital Asset Pricing Models for partially integrated emerging markets pp. 180-194 Downloads
Ye Bai and Christopher J. Green
Credit risk – Return puzzle: Evidence from India pp. 195-206 Downloads
Elizabeth Nedumparambil and Anup Kumar Bhandari
Insurance activity, real output, and geopolitical risk: Fresh evidence from BRICS pp. 207-215 Downloads
Chi-Chuan Lee and Chien-Chiang Lee
Testing for individual and time effects in the two-way error component model with time-invariant regressors pp. 216-229 Downloads
Jing Chen, Rongxian Yue and Jianhong Wu
Export, FDI and the welfare gains from trade liberalization pp. 230-238 Downloads
Puyang Sun, Yong Tan and Guang Yang
Does medicaid generosity affect household income? pp. 239-256 Downloads
Anil Kumar
Housing market cycles in large urban areas pp. 257-267 Downloads
Huthaifa Alqaralleh and Alessandra Canepa
The signaling effects of education in the online lending market: Evidence from China pp. 268-276 Downloads
Wenli Huang, Yanhong Qian and Nanyan Xu
An empirical investigation of the balance of embodied emission in trade: Industry structure and emission abatement pp. 277-294 Downloads
Satoshi Honma and Yushi Yoshida
Raising productivity with pension premium pp. 295-308 Downloads
Debasis Bandyopadhyay and Anatoly La Pere
Why the money multiplier has remained persistently so low in the post-crisis United States? pp. 309-317 Downloads
Elena Seghezza and Pierluigi Morelli
Do Chinese executives reward for luck? pp. 318-325 Downloads
Xiaodan Shang, Chuanjian Luo and Qian Wen
Country governance, corruption, and the likelihood of firms’ innovation pp. 326-338 Downloads
Chien-Chiang Lee, Chih-Wei Wang and Shan-Ju Ho
A stochastic estimated version of the Italian dynamic General Equilibrium Model pp. 339-357 Downloads
Nicola Acocella, Elton Beqiraj, Giovanni Di Bartolomeo, Marco Di Pietro, Francesco Felici, Giorgio Alleva, Fabio Di Dio and Brunero Liseo
Financial cycles in asset markets and regions pp. 358-374 Downloads
John Beirne
The impact of external R&D financing on innovation process from a supply-demand perspective pp. 375-387 Downloads
Mingting Kou, Yuanqi Yang and Kaihua Chen

Volume 91, issue C, 2020

A pricing model with dynamic repayment flows for guaranteed consumer loans pp. 1-11 Downloads
Shou Chen, Xiangqian Jiang, Hongbo He and Xi Zhou
How helpful are social networks in finding a job along the economic cycle? Evidence from immigrants in France pp. 12-32 Downloads
Eva Moreno Galbis, François-Charles Wolff and Arnaud Herault
Does foreign exchange derivatives market promote R&D? International industry-level evidence pp. 33-42 Downloads
Xiangchao Hao, Qinru Sun and Fang Xie
Revisiting human capital and aggregate income differences pp. 43-64 Downloads
Susanna G. Campbell and Murat Üngör
The macroeconomic drivers in hedge fund beta management pp. 65-80 Downloads
Marie Lambert and Federico Platania
Industrial subsidy policy and the optimal level of specialization pp. 81-88 Downloads
Ram Dubey and Minwook Kang
A simple aggregate demand analysis with dynamic optimization in a small open economy pp. 89-99 Downloads
Ken-ichi Hashimoto and Yoshiyasu Ono
Examination and Approval of New Patents in an Endogenous Growth Model pp. 100-109 Downloads
Kiyoka Akimoto and Takaaki Morimoto
Intellectual property right infringement, state involvement in industrial espionage, and North-South trade pp. 110-116 Downloads
Sang-Kee Kim
Tradeoffs between costly capacity investment and risk of regime shift pp. 117-127 Downloads
Bruno Nkuiya
Do news shocks increase capital utilization? pp. 128-137 Downloads
Jinhee Woo
World economic convergence: Does the estimation methodology matter? pp. 138-147 Downloads
Evangelia Desli and Alexandra Gkoulgkoutsika
Artificial neural network regression models in a panel setting: Predicting economic growth pp. 148-154 Downloads
Malte Jahn
Government size, composition of public spending and economic growth in Brazil pp. 155-166 Downloads
Jose Angelo Divino, Daniel T.G.N. Maciel and Wilfredo Sosa
Trade tariff, wage gap and public spending pp. 167-179 Downloads
Michele Giuranno and Antonella Nocco
Insolvency regimes and firms' default risk under economic uncertainty and shocks pp. 180-197 Downloads
Balagopal Gopalakrishnan and Sanket Mohapatra
Volatility transmission between oil prices and banks' stock prices as a new source of instability: Lessons from the United States experience pp. 198-217 Downloads
Yao Axel Ehouman
The economics of the illicit drugs-for-guns trade and growth pp. 218-232 Downloads
King Yoong Lim and Diego Morris
Public provision of health insurance and aggregate saving in an overlapping generations model with endogenous health risk: The South Korean case pp. 233-246 Downloads
Kyoung Mook Lim
Forecasting the Consumer Confidence Index with tree-based MIDAS regressions pp. 247-256 Downloads
Yue Qiu
Risk, uncertainty, and leverage pp. 257-273 Downloads
Khandokar Istiak and Apostolos Serletis
Social insurance for the elderly pp. 274-299 Downloads
Se Yung Bae, Junkee Jeon, Hyeng Keun Koo and Kyunghyun Park
Signing auditors’ foreign experience and audit pricing pp. 300-312 Downloads
Fei Hou, Jie Liu, Tingyun Pang and Hao Xiong
Rethinking multidimensional poverty through a multi-criteria analysis pp. 313-325 Downloads
Elena Barcena-Martin, Salvador Pérez-Moreno and Beatriz Rodríguez-Díaz
On the relationship between body mass index and marital dissolution pp. 326-340 Downloads
Héctor Bellido and Miriam Marcén
Can product differentiation mitigate conflicts of interest between principal stakeholders? A cournot-bertrand comparison pp. 341-346 Downloads
Nicolas Le Pape and Yongying Wang
The innovation effect of dual-class shares: New evidence from US firms pp. 347-357 Downloads
Xiaping Cao, Tiecheng Leng, Jeremy Goh and Paul Malatesta
Structural change in a growing open economy: Attitudes and institutions in Latin America and Asia pp. 358-385 Downloads
Marwil Dávila-Fernández and Serena Sordi
Forecast performance in times of terrorism pp. 386-402 Downloads
Jonathan Benchimol and Makram El-Shagi
Does rice farming shape audit quality: Evidence from signing auditors level analysis pp. 403-420 Downloads
Hao Xiong, Fei Hou, Hanwen Li and Huabing Wang
Pure rent taxation and allocation of capital in a two-sector open economy: A long-run analysis pp. 421-427 Downloads
Alberto Petrucci
Prediction of volatility based on realized-GARCH-kernel-type models: Evidence from China and the U.S pp. 428-444 Downloads
Jiazhen Wang, Yuexiang Jiang, Yanjian Zhu and Jing Yu
Liquidity shocks: A new solution to the forward premium puzzle pp. 445-454 Downloads
Vikram Kumar
Cross market predictions for commodity prices pp. 455-462 Downloads
Shusheng Ding and Yongmin Zhang
Smoothing and forecasting mixed-frequency time series with vector exponential smoothing models pp. 463-468 Downloads
Byeongchan Seong
Mixed data sampling expectile regression with applications to measuring financial risk pp. 469-486 Downloads
Qifa Xu, Lu Chen, Cuixia Jiang and Keming Yu
The impact of product market regulation on productivity through firm churning: Evidence from European countries pp. 487-501 Downloads
Robert Anderton, Benedetta Di Lupidio and Barbara Jarmulska
On the credit and exchange rate channels of central bank asset purchases in a monetary union pp. 502-533 Downloads
Matthieu Darracq Paries and Niki Papadopoulou
TFP growth in Chinese cities: The role of factor-intensity and industrial agglomeration pp. 534-549 Downloads
Wei Wei, Wan-Li Zhang, Jun Wen and Jun-Sheng Wang
Inequality and credit growth in Russian regions pp. 550-558 Downloads
Makram El-Shagi, Jarko Fidrmuc and Steven Yamarik
The impact of macroeconomic factors on income inequality: Evidence from the BRICS pp. 559-567 Downloads
Edmond Berisha, Rangan Gupta and John Meszaros
Wealth inequality and financial inclusion: Evidence from South African tax and survey records pp. 568-578 Downloads
Dieter von Fintel and Anna Orthofer
Technical change in U.S. industries pp. 579-600 Downloads
A K M Nurul Hossain and Apostolos Serletis
Market competition and firms' social performance pp. 601-612 Downloads
Chee Kian Leong and Yung Chiang Yang
Unemployment duration, Fiscal and monetary policies, and the output gap: How do the quantile relationships look like? pp. 613-632 Downloads
Akbar Zamanzadeh, Marc Chan, Mohammad Ali Ehsani and Mojtaba Ganjali
Collateral rehypothecation, safe asset scarcity, and unconventional monetary policy pp. 633-645 Downloads
Ruggero Grilli, Federico Giri and Mauro Gallegati
Measuring systemic risk in the U.S. Banking system pp. 646-658 Downloads
James W. Kolari, Félix López-Iturriaga and Ivan Pastor Sanz
Service sharing, profit mode and coordination mechanism in the Online-to-Offline retail market pp. 659-669 Downloads
Qi Xu, Guanghua Fu and Dandan Fan
Trade openness, internet finance development and banking sector development in China pp. 670-678 Downloads
Junhui Fu, Yufang Liu, Rongda Chen, Xiaojian Yu and Wen Tang
Can entrepreneurship bring happiness? Evidence from China pp. 679-686 Downloads
Daping Zhao, Jialing Jiang and Zhichao Yin
When should firms choose a risky new technology? An oligopolistic analysis pp. 687-693 Downloads
Yanfang Zhang
Rational cost inefficiency and convergence in Chinese banks pp. 696-704 Downloads
Kent Matthews and Zhiguo Xiao
Banking integration in ASEAN-6: An empirical investigation pp. 705-719 Downloads
Dao Ha, Philippe Gillet, Phuong Le and Dinh-Tri Vo
Credit creation under multiple banking regulations: The impact of balance sheet diversity on money supply pp. 720-735 Downloads
Xiaoyun Xing, Mingsong Wang, Yougui Wang and H. Eugene Stanley
Monetary policy and systemic risk-taking in the euro area banking sector pp. 736-758 Downloads
Alain Kabundi and Francisco Nadal De Simone
Macroeconomic adjustment with managed exchange rates and capital controls: Some lessons from China pp. 759-768 Downloads
Jennifer Lai, Hongyi Chen and Paul McNelis
Trend inflation and macroeconomic stability in a small open economy pp. 769-778 Downloads
Bo Zhang and Wei Dai
Interest rate policy and interbank market breakdown pp. 779-789 Downloads
Marc Nückles
Threshold effect of economic openness on bank risk-taking: Evidence from emerging markets pp. 790-803 Downloads
Tung Duy Bui and Hoai Thi Mai Bui
Cash policy and the bank-firm relationship pp. 804-818 Downloads
Weihan Cui, Ly Kim Cuong and Katsutoshi Shimizu
Overcapacities in banking: Measurement, trends and determinants pp. 819-834 Downloads
Sandor Gardo and Benjamin Klaus
Does corporate social responsibility reduce financial distress risk? pp. 835-851 Downloads
Sabri Boubaker, Alexis Cellier, Riadh Manita and Asif Saeed
Page updated 2025-03-29