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 73, issue C, 2018
- Active labour-market policies and output growth: Is there a causal relationship? pp. 1-14

- Eleftherios Goulas and Athina Zervoyianni
- Welfare analysis of bank capital requirements with endogenous default pp. 15-29

- Fernando Garcia-Barragan and Guangling Liu
- Endogeneity in household mortgage choice pp. 30-44

- Mardi Dungey, Firmin Doko Tchatoka and María B. Yanotti
- Identifying the nonlinear correlation between business cycle and monetary policy rule: Evidence from China and the U.S pp. 45-54

- Dayu Liu, Ning Xu, Tingting Zhao and Yang Song
- Evaluating monetary policy rules under fundamental uncertainty: An info-gap approach pp. 55-70

- Yakov Ben-Haim, Maria Demertzis and Jan Willem End
- The pass-through of monetary policy rate to lending rates: The role of macro-financial factors pp. 71-88

- Jiří Gregor and Martin Melecký
- Convergence analysis for hierarchical longitudinal data pp. 89-99

- Giorgio Fazio and Davide Piacentino
- Discretionary fiscal policy and disagreement in expectations about fiscal variables empirical evidence from Brazil pp. 100-116

- Gabriel Montes and Paulo Henrique Luna
- Economic sanction games among the US, the EU and Russia: Payoffs and potential effects pp. 117-128

- Yan Dong and Chunding Li
- Substitution between private and government consumption in African economies pp. 129-139

- Taufiq Carnegie Dawood and John Francois
- The real exchange rate in Taylor rules: A Re-Assessment pp. 140-151

- Richard T. Froyen and Alfred Guender
- Upward wage rigidity and Japan's dispatched worker system pp. 152-162

- W.D. Chen
- Price level targeting and risk management pp. 163-173

- Roberto Billi
- Subnational government tax revenue capacity and effort convergence: New evidence from sequential unit root tests pp. 174-183

- Saeid Mahdavi and Joakim Westerlund
- Productivity, financial constraints, and firms' global value chain participation: Evidence from China pp. 184-194

- Yue Lu, Huimin Shi, Wei Luo and Bin Liu
- Does infrastructure have a transitory or longer-term impact? Evidence from China pp. 195-207

- Yin-Fang Zhang and Shengbao Ji
- Monetary-fiscal policy interactions under asset purchase programs: Some comparative evidence pp. 208-221

- Ling Wang
- Sectoral dynamics of financial contagion in Europe - The cases of the recent crises episodes pp. 222-239

- Christos Alexakis and Vasileios Pappas
- Growth in emerging economies: Is there a role for education? pp. 240-253

- Balint Lenkei, Ghulam Mustafa and Michela Vecchi
- Assessing the strategic fit of potential M&As in Chinese banking: A novel Bayesian stochastic frontier approach pp. 254-263

- Zhongfei Chen, Peter Wanke and Mike Tsionas
- The business cycle implications of bank discrimination in China pp. 264-278

- Shen Guo, Zheng Jiang and Huimin Shi
- Modelling heterogeneous firms and non-tariff measures in free trade agreements using Computable General Equilibrium pp. 279-294

- Yaghoob Jafari and Wolfgang Britz
- A fundamentalist theory of real estate market outcomes pp. 295-305

- Stuart J. Fowler, Jennifer J. Fowler, Philip A. Seagraves and Charles F. Beauchamp
- Public spending, credit and natural capital: Does access to capital foster deforestation? pp. 306-316

- Jean-Louis Combes, Philippe Delacote, Pascale Combes Motel and Thierry Yogo
- Post-Brexit trade survival: Looking beyond the European Union pp. 317-328

- Karen Jackson and Oleksandr Shepotylo
- Teaching technologies, attendance, learning and the optimal level of access to online materials pp. 329-342

- Pedro Gomis-Porqueras and José Rodrigues-Neto
- Volatility spillover shifts in global financial markets pp. 343-353

- Ahmed BenSaïda, Houda Litimi and Oussama Abdallah
- Bias-corrected estimation for speculative bubbles in stock prices pp. 354-364

- Robinson Kruse, Hendrik Kaufmann and Christoph Wegener
- A dynamic double hurdle model for remittances: evidence from Germany pp. 365-377

- Giulia Bettin, Riccardo (Jack) Lucchetti and Claudia Pigini
- Testing extreme dependence in financial time series pp. 378-394

- Kausik Chaudhuri, Rituparna Sen and Zheng Tan
- A comparison of the robust conditional order-m estimation and two stage DEA in measuring healthcare efficiency among California counties pp. 395-406

- Richard S. Gearhart and Nyakundi Michieka
- Estimating inflation persistence by quantile autoregression with quantile-specific unit roots pp. 407-430

- Wagner Gaglianone, Osmani Guillén and Francisco Rodrigues Figueiredo
Volume 72, issue C, 2018
- CSR in an oligopoly with foreign competition: Policy and welfare implications pp. 1-7

- Qian Liu, Leonard F.S. Wang and Charlie L. Chen
- The effects of financial distress: Evidence from US GDP growth pp. 8-21

- John Inekwe, Yi Jin and Ma. Rebecca Valenzuela
- Estimating concave substitution possibilities with non-stationary data using the dynamic linear logit demand model pp. 22-30

- Timothy J. Considine
- The trade-off between profitability and outreach in microfinance pp. 31-41

- Maurizio Caserta, Simona Monteleone and Francesco Reito
- Oil price shocks and uncertainty: How stable is their relationship over time? pp. 42-53

- Stavros Degiannakis, George Filis and Sofia Panagiotakopoulou
- Does competition inhibit fairness and altruism? pp. 54-64

- Gunduz Caginalp and Shirley J. Ho
- Is higher government efficiency conducive to improving energy use efficiency? Evidence from OECD countries pp. 65-77

- Chun-Ping Chang, Jun Wen, Mingbo Zheng, Minyi Dong and Yu Hao
- ECB-Global: Introducing the ECB's global macroeconomic model for spillover analysis pp. 78-98

- Alistair Dieppe, Georgios Georgiadis, Martino Ricci, Ine Van Robays and Björn van Roye
- Evaluating nowcasts of bridge equations with advanced combination schemes for the Turkish unemployment rate pp. 99-108

- Barış Soybilgen and Ege Yazgan
- International trade and the transmission of shocks: The case of ASEAN-4 and NIE-4 economies pp. 109-121

- Mardi Dungey, Faisal Khan and Mala Raghavan
- Locus of control and financial risk attitudes pp. 122-131

- Dusanee Kesavayuth, Kaung Myat Ko and Vasileios Zikos
- On the formation of inflation expectations in turbulent times: The case of the euro area pp. 132-139

- Tomasz Łyziak and Maritta Paloviita
- A term structure model under cyclical fluctuations in interest rates pp. 140-150

- Manuel Moreno, Alfonso Novales and Federico Platania
- Public spending structure, minimal state and economic growth in France (1870–2010) pp. 151-164

- François Facchini and Elena Seghezza
- Multi-horizon wealth effects across the G7 economies pp. 165-176

- Nicholas Apergis, Christos Bouras, Christina Christou and Christis Hassapis
- Exploring unbalanced growth: Understanding the sectoral structure of the South African economy pp. 177-189

- Johannes Fedderke
- Explaining coffee price differentials in terms of chemical markers: Evidence from a pairwise approach pp. 190-201

- Jesus Otero, Ricardo Arguello, Juan Daniel Oviedo and Manuel Ramírez
- Tradable credit markets for intensity standards pp. 202-215

- Ivan Rudik
- Do immigrants displace native workers? Evidence from matched panel data pp. 216-222

- Pedro Martins, Matloob Piracha and Jose Varejao
- Causes and consequences of oil price shocks on the UK economy pp. 223-236

- Marco Lorusso and Luca Pieroni
- How does the timing of markets affect optimal monetary and fiscal policy in sticky price models? pp. 237-248

- Houyang Du, Ye Guo and Xuan Liu
- Forecasting gold futures market volatility using macroeconomic variables in the United States pp. 249-259

- Libing Fang, Honghai Yu and Wen Xiao
- Disentangling the importance of international border effects. Some evidence from Portugal–Spain based on diesel retailers pp. 260-269

- Jacint Balaguer and Jordi Ripollés
- Testing the optimality of inflation forecasts under flexible loss with random forests pp. 270-277

- Christoph Behrens, Christian Pierdzioch and Marian Risse
- Optimal hedge ratios for clean energy equities pp. 278-295

- Wasim Ahmad, Perry Sadorsky and Amit Sharma
- Foreign direct investment and economic growth: Exploring the transmission channels pp. 296-305

- Kamil Makieła and Bazoumana Ouattara
- Monetary policy rules in emerging countries: Is there an augmented nonlinear taylor rule? pp. 306-319

- Guglielmo Maria Caporale, Mohamad Husam Helmi, Nazif Catik, Faek Menla Ali and Coşkun Akdeniz
- Forecasting the aggregate oil price volatility in a data-rich environment pp. 320-332

- Feng Ma, Jing Liu, M.I.M. Wahab and Yaojie Zhang
- International stock market contagion: A CEEMDAN wavelet analysis pp. 333-352

- Zhongbao Zhou, Ling Lin and Shuxian Li
- Is Being Sharia compliant worth it? pp. 353-362

- Jamil Jaballah, Jonathan Peillex and Laurent Weill
- Complex price dynamics in vertically linked cobweb markets pp. 363-378

- Muhammad Imran Chaudhry and Mario Miranda
- Financial integration in Africa: New evidence using network approach pp. 379-390

- Mita Bhattacharya, John Inekwe and Maria Rebecca Valenzuela
- Risk shocks in a small open economy: Business cycle dynamics in Canada pp. 391-409

- Caterina Mendicino and Yahong Zhang
- Borrowing constraints and housing price expectations in the euro area pp. 410-421

- Miguel Ampudia Fraile and Sergio Mayordomo
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