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.
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Volume 88, issue C, 2020
- Wealth inequality, governance and economic growth pp. 1-13

- Md. Rabiul Islam and Mark McGillivray
- Are cyclical patterns of international housing markets interdependent? pp. 14-24

- Kuang-Liang Chang
- Price connectedness between green bond and financial markets pp. 25-38

- Juan Reboredo and Andrea Ugolini
- Economies of scope and scale in the Norwegian electricity industry pp. 39-46

- Ørjan Mydland, Subal Kumbhakar, Gudbrand Lien, Roar Amundsveen and Hilde Marit Kvile
- A new investor sentiment indicator (ISI) based on artificial intelligence: A powerful return predictor in China pp. 47-58

- Qingsong Ruan, Zilin Wang, Yaping Zhou and Dayong Lv
- Fiscal devaluation and economic activity in the EU pp. 59-81

- Piotr Ciżkowicz, Bartosz Radzikowski, Andrzej Rzońca and Wiktor Wojciechowski
- Progressive taxation and human capital as determinants of inflation persistence pp. 82-97

- George Geronikolaou, Eleftherios Spyromitros and Panagiotis Tsintzos
- Heterogeneous firms, corporate taxes and export behavior: A firm-level investigation for Italy pp. 98-112

- Daniela Federici, Valentino Parisi and Francesco Ferrante
- Economic uncertainty in South Africa pp. 113-131

- Laurie Binge and Willem Boshoff
- Cross-country fiscal policy spillovers and capital-skill complementarity in integrated capital markets pp. 132-150

- Thomas Davoine and Matthias Molnar
- Optimum government size and economic growth in case of Indian states: Evidence from panel threshold model pp. 151-162

- Vaseem Akram and Badri Rath
- Credit constraints and productivity of SMEs: Evidence from Canada pp. 163-180

- Shutao Cao and Danny Leung
- Lack of commitment to future privatization policies may lead to worst welfare outcome pp. 181-187

- Junichi Haraguchi and Toshihiro Matsumura
- On the impact of public policies and wage formation on business investment in research and development pp. 188-199

- Tim Buyse, Freddy Heylen and Ruben Schoonackers
- Assessing downside and upside risk spillovers across conventional and socially responsible stock markets pp. 200-210

- Hachmi Ben Ameur, Fredj Jawadi, Nabila Jawadi and Abdoulkarim Idi Cheffou
- Wage and price differences, technology gap and labor flow dynamics pp. 211-222

- Shang-ao Li, Liutang Gong, Shan Pan and Feng Luo
- A two-sector Kaleckian model of growth and distribution with endogenous productivity dynamics pp. 223-243

- Hiroshi Nishi
- Wage rigidities and unemployment fluctuations in a small open economy pp. 244-262

- Hyuk Jae Rhee and Jeongseok Song
- Environmentally aware households pp. 263-279

- Manthos Delis and Maria Iosifidi
- The effect of observables, functional specifications, model features and shocks on identification in linearized DSGE models pp. 280-292

- Sergey Ivashchenko and Willi Mutschler
- Should monetary policy lean against the wind? Simulations based on a DSGE model with an occasionally binding credit constraint pp. 293-311

- Jan Žáček
- Capacity investment and green R&D in a dynamic oligopoly under the potential shift in environmental damage pp. 312-319

- Jian Ni, Hongzhi Huang, Peipei Wang and Wei Zhou
- Is the slope of the Phillips curve time-varying? Evidence from unobserved components models pp. 320-340

- Bowen Fu
- Improving forecast accuracy of financial vulnerability: PLS factor model approach pp. 341-355

- Hyeongwoo Kim and Kyunghwan Ko
- Evaluating sovereign risk spillovers on domestic banks during the European debt crisis pp. 356-375

- Benjamin Keddad and Christophe Schalck
- How does reinsurance and derivatives usage affect financial performance? Evidence from the UK non-life insurance industry pp. 376-385

- Yung-Ming Shiu
- Expectile CAPM pp. 386-397

- Wei Hu and Zhenlong Zheng
- European country heterogeneity in financial distress prediction: An empirical analysis with macroeconomic and regulatory factors pp. 398-407

- Manuel Ángel Fernández-Gámez, Juan Antonio Campos Soria, José António C. Santos and David Alaminos
- Optimal investment and consumption with return predictability and execution costs pp. 408-419

- Guiyuan Ma, Chi Chung Siu and Song-Ping Zhu
- A Copula Nonlinear Granger Causality pp. 420-430

- Jong-Min Kim, Namgil Lee and Sun Young Hwang
- A tool for fiscal policy planning in a medium-term fiscal framework: The FMM-MTFF model pp. 431-446

- Rodrigo Suescun
Volume 87, issue C, 2020
- International production fragmentation, trade in intermediate goods and environment pp. 1-7

- Jingjing Zhang
- Inflation literacy and inflation expectations: Evidence from Austrian household survey data pp. 8-23

- Fabio Rumler and Maria Valderrama
- Economic policy uncertainty and the Chinese stock market volatility: Novel evidence pp. 24-33

- Tao Li, Feng Ma, Xuehua Zhang and Yaojie Zhang
- Culture and the capital–performance nexus in dual banking systems pp. 34-58

- Mohammad Bitar, M. Kabir Hassan and Wadad Saad
- Political incentives and local government spending multiplier: Evidence for Chinese provinces (1978–2016) pp. 59-71

- Wen Zhang
- Macroeconomic implications of modeling the Internal Revenue Code in a heterogeneous-agent framework pp. 72-91

- Rachel Moore and Brandon Pecoraro
- Limited attention, salience of information and stock market activity pp. 92-108

- Sofia Ramos, Pedro Latoeiro and Helena Veiga
- Does state-level per capita income affect juvenile delinquency? An empirical analysis for Indian states pp. 109-120

- Nabamita Dutta, Dipparna Jana and Saibal Kar
- Policy choice for end-of-pipe abatement technology adoption under technological uncertainty pp. 121-130

- Bingxin Zeng, Lei Zhu and Xing Yao
- The path to shared prosperity: Leveraging financial services outreach to create decent jobs in developing countries pp. 131-147

- Aïssata Coulibaly and Urbain Thierry Yogo
- Does measurement error matter in volatility forecasting? Empirical evidence from the Chinese stock market pp. 148-157

- Yajing Wang, Fang Liang, Tianyi Wang and Zhuo Huang
- The effects of technological development on the labor share of national income pp. 158-171

- Özgür Ergül and Türkmen Göksel
- Welfare and equity impacts of cross-border factor mobility in Bangladesh: A general equilibrium analysis pp. 172-184

- Sharif M. Hossain and Nobuhiro Hosoe
- Capital accumulation through studying abroad and return migration pp. 185-196

- Takumi Naito and Laixun Zhao
- Time-varying money demand and real balance effects pp. 197-211

- Jonathan Benchimol and Irfan Qureshi
- Safe haven, hedge and diversification for G7 stock markets: Gold versus bitcoin pp. 212-224

- Syed Jawad Hussain Shahzad, Elie Bouri, David Roubaud and Ladislav Krištoufek
- A test for inflation persistence in Nigeria using fractional integration & fractional cointegration techniques pp. 225-237

- Moses Tule, Afees Salisu and Godday Ebuh
- Domestic and global output gaps as inflation drivers: What does the Phillips curve tell? pp. 238-253

- Martina Jašová, Richhild Moessner and Elod Takats
- Consumption aspirations in dirty and clean goods and economic growth pp. 254-266

- Jhy-hwa Chen, Chih-yu Yang, Jhy-yuan Shieh and Juin-jen Chang
- Macroeconomic implications of dynamically inconsistent preferences pp. 267-279

- Yoonseok Choi
- A dynamic CGE model for jointly accounting ageing population, automation and environmental tax reform. European Union as a case study pp. 280-306

- Valeria Costantini and Giorgia Sforna
- What do we know about fiscal sustainability across Indian states? pp. 307-321

- Vaseem Akram and Badri Rath
- Balance sheet changes and the impact of financial sector risk-taking on fiscal multipliers pp. 322-343

- Konstantin Makrelov, Channing Arndt, Rob Davies and Laurence Harris
- Simulated economic impacts in applied trade modelling: A comparison of tariff aggregation approaches pp. 344-357

- Mihaly Himics, Giulia Listorti and Axel Tonini
- Financial frictions and the futures pricing puzzle pp. 358-371

- Rhys ap Gwilym, M. Shahid Ebrahim, Abdelkader O. El Alaoui, Hamid Rahman and Abderrahim Taamouti
- Quality differentiation and product innovation licensing pp. 372-382

- Yuxiang Zou and Tai-Liang Chen
- Inflation forecasting using the New Keynesian Phillips Curve with a time-varying trend pp. 383-393

- Stephen McKnight, Alexander Mihailov and Fabio Rumler
- Growth, R&D, and uncertainty pp. 394-400

- Mizuki Tsuboi
- Heterogeneity risks and negative externality pp. 401-415

- Shusong Ba, Lu Li, Wenli Huang and Chen Yang
- The role of income pooling and decision-making responsibilities in material deprivation pp. 416-428

- Elena Barcena-Martin, Maite Blázquez Cuesta and Ana Moro-Egido
- What impact do differences in financial structure have on the macro effects of bank capital requirements in the United States and Australia? pp. 429-446

- Jason Nassios, James Giesecke, Peter Dixon and Maureen Rimmer
- Bank loan supply shocks and leverage adjustment pp. 447-460

- Masayo Shikimi
- CEO international experience and foreign IPOs pp. 461-470

- Tinghua Duan, Wenxuan Hou and William Rees
- Waiting as a signal: Why women are delaying fertility? pp. 471-479

- Wung Lik Ng and Yin-Chi Wang
- Bankruptcy regime and the banking system pp. 480-495

- Nicolae Stef and Sophia Dimelis
- Do mutual fund flows affect the French corporate bond market? pp. 496-510

- Virginie Coudert and Dilyara Salakhova
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