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 69, issue C, 2018
- Managing change: Communication, managerial style and change in organizations pp. 1-12

- By Roland Bel, Vladimir Smirnov and Andrew Wait
- Impact of market-based finance on SMEs failure pp. 13-25

- Jairaj Gupta and Andros Gregoriou
- Profitability of reversal strategies: A modified version of the Carhart model in China pp. 26-37

- Wei Zhang, Guanying Wang, Xingchun Wang, Xiong Xiong and Xuan Lei
- Cash remains top-of-wallet! International evidence from payment diaries pp. 38-48

- Carlos Alberto Arango, Yassine Bouhdaoui, David Bounie, Martina Eschelbach and Lola Hernandez
- Behavior of retail prices in common currency areas: The case of the Eurozone pp. 49-57

- Alex Nikolsko-Rzhevskyy and Olena Ogrokhina
- Is the survival of the euro area at risk? An economic analysis of exit and contagion possibilities pp. 58-66

- Paolo Canofari and Marcello Messori
- Child labour and human capital in developing countries - A multi-period stochastic model pp. 67-81

- Indrajit Thakurata and Errol D'Souza
- Unemployment and optimal exchange rate in an open economy pp. 82-90

- Yoonho Choi and E. Kwan Choi
- Growth, financial development, and housing booms pp. 91-102

- Taejun Lim
- What determines governance across nations: Do economic and social globalization play a role? pp. 103-113

- Deepraj Mukherjee and Nabamita Dutta
- Evaluating the economic impacts and feasibility of China's energy cap: Based on an Analytic General Equilibrium Model pp. 114-126

- Feng Wang, Xiying Liu and Tue Anh Nguyen
- Baidu news information flow and return volatility: Evidence for the Sequential Information Arrival Hypothesis pp. 127-133

- Dehua Shen, Xiao Li and Wei Zhang
- Globalization and productivity: A robust nonparametric world frontier analysis pp. 134-149

- Camilla Mastromarco and Leopold Simar
- Capital mobility in OECD countries: A multi-level factor approach to saving–investment correlations pp. 150-159

- Sun Ho Hwang and Yun Jung Kim
- Nowcasting with the help of foreign indicators: The case of Mexico pp. 160-168

- Alberto Caruso
- The impact of asymmetric ambiguity on investment and financing decisions pp. 169-180

- Jean-Laurent Viviani, Anh Lai and Waël Louhichi
- Brexit and financial stability: An agent-based simulation pp. 181-192

- Aristeidis Samitas, Stathis Polyzos and Costas Siriopoulos
- Impact of border barriers, returning migrants, and trade diversion in Brexit: Firm exit and loss of variety pp. 193-204

- Nobuhiro Hosoe
- Industrial electricity consumption, human capital investment and economic growth in Chinese cities pp. 205-219

- Yang Chen and Zheng Fang
- International risk transmission of stock market movements pp. 220-236

- Yifan Shen
- Do international investors cause stock market spillovers? Comparing responses of cross-listed stocks between accessible and inaccessible markets pp. 237-248

- Yusaku Nishimura, Yoshiro Tsutsui and Kenjiro Hirayama
- EAGLE-FLI: A macroeconomic model of banking and financial interdependence in the euro area pp. 249-280

- N. Bokan, Andrea Gerali, Sandra Gomes, Pascal Jacquinot and Massimiliano Pisani
- Cost effectiveness or serving the poor? Factors determining program placement of NGOs in Bangladesh pp. 281-290

- Debdulal Mallick and Munirul Nabin
- The Great Recession and Okun's law pp. 291-300

- Angelia Grant
- Directional predictability and time-varying spillovers between stock markets and economic cycles pp. 301-312

- Stelios Bekiros, Syed Jawad Hussain Shahzad, Jose Arreola-Hernandez and Mobeen Ur Rehman
Volume 68, issue C, 2018
- The impact of setting negative policy rates on banking flows and exchange rates pp. 1-10

- Guillaume A. Khayat
- Bank efficiency and industry growth during financial crises pp. 11-22

- Boubacar Diallo
- The impact of monetary policy on housing market activity: An assessment using sign restrictions pp. 23-31

- Ejindu Ume
- China's regime-switching monetary policy pp. 32-40

- Jan Klingelhöfer and Rongrong Sun
- RiskRank: Measuring interconnected risk pp. 41-50

- József Mezei and Peter Sarlin
- The hidden soul of financial innovation: An agent-based modelling of home mortgage securitization and the finance-growth nexus pp. 51-73

- Eliana Lauretta
- Herding, social network and volatility pp. 74-81

- Guocheng Wang and Yanyi Wang
- No man is an Island: The impact of heterogeneity and local interactions on macroeconomic dynamics pp. 82-95

- Mattia Guerini, Mauro Napoletano and Andrea Roventini
- Dynamics of international spillovers and interaction: Evidence from financial market stress and economic policy uncertainty pp. 96-116

- Kim Liow, Wen-Chi Liao and Yuting Huang
- Optimal licensing in a differentiated Bertrand market under uncertain R&D outcomes and technology spillover pp. 117-126

- Qingyou Yan and Le Yang
- Using rule-based updating procedures to improve the performance of composite indicators pp. 127-144

- Klaus Abberger, Michael Graff, Boriss Siliverstovs and Jan-Egbert Sturm
- Fitting and forecasting yield curves with a mixed-frequency affine model: Evidence from China pp. 145-154

- Yuhuang Shang and Tingguo Zheng
- Evaluating the effects of local content measures in a CGE model: Eliminating the US Buy America(n) programs pp. 155-166

- Peter Dixon, Maureen Rimmer and Robert Waschik
- State contingent and conventional banking: The optimal banking choice model pp. 167-177

- Atif Saeed Chaudry, Saad Azmat and Maryam Sohail
- Evaluating the effects of labour market reforms on job flows: The Italian case pp. 178-189

- Giorgio d'Agostino, Luca Pieroni and Margherita Scarlato
- Forecasting with DSGE models: What frictions are important? pp. 190-204

- Valeriu Nalban
- Heterogeneity in the effects of government size and governance on economic growth pp. 205-216

- Dong-Hyeon Kim, Yi-Chen Wu and Shu-Chin Lin
- The impact of cross-subsidies on utility service quality in developing countries pp. 217-228

- Fan Li and Shengli Li
- Cross-border post-merger integration and technology innovation: A resource-based view pp. 229-238

- Feiqiong Chen, Qiaoshuang Meng and Xueying Li
- Oligopolistic competition in the banking market and economic growth pp. 239-248

- Kojun Hamada, Akihiko Kaneko and Mitsuyoshi Yanagihara
- Financial disruption and state dependent credit policy pp. 249-272

- Thibaud Cargoët and Jean-Christophe Poutineau
- U.S. wage growth and nonlinearities: The roles of inflation and unemployment pp. 273-292

- Luiggi Donayre and Irina Panovska
- Trust and macroeconomic performance: A two-step approach pp. 293-305

- Sokchea Lim, Akm Morshed and Channary Khun
- Convergence of credit structure around the world pp. 306-317

- Florian Leon
- Herding behavior among wine investors pp. 318-328

- Beysül Aytaç, Guillaume Coqueret and Cyrille Mandou
- Uncertainty in financial markets and business cycles pp. 329-339

- Seçil Yıldırım-Karaman
- Testing for bubbles in the art markets: An empirical investigation pp. 340-355

- Ata Assaf
- On the dynamics of sovereign debt in China: Sustainability and structural change pp. 356-359

- Juan Cuestas and Paulo Regis
- Has the Great Recession affected the convergence process? The case of Spanish provinces pp. 360-371

- Antonio Montañés, Lorena Olmos and Marcelo Reyes
- Asymmetric effects of government spending shocks during the financial cycle pp. 372-387

- I.C. Pragidis, Panagiotis Tsintzos and Vasilios Plakandaras
- Explosiveness in G11 currencies pp. 388-408

- Daan Steenkamp
- Dynamic provision of public goods under uncertainty pp. 409-415

- Toshiki Tamai
- Influence of regional cycles and personal background on FOMC members’ preferences and disagreement pp. 416-424

- Hamza Bennani, Etienne Farvaque and Piotr Stanek
- Social status, compulsory education, and growth pp. 425-434

- Chia-Hui Lu
- Population growth and the wage skill premium pp. 435-449

- Pedro Cunha Neves, Oscar Afonso and Tiago Sequeira
- Regulating national firms in a common market under asymmetric information pp. 450-460

- Sara Biancini
- Phasing out a polluting input in a growth model with directed technological change pp. 461-474

- Clas Eriksson
- The impact of gambling on depression: New evidence from England and Scotland pp. 475-483

- Sefa Awaworyi Churchill and Lisa Farrell
- How costly is a misspecified credit channel DSGE model in monetary policymaking? pp. 484-505

- Takeshi Yagihashi
- How efficient are China's macroeconomic forecasts? Evidences from a new forecasting evaluation approach pp. 506-513

- Yuying Sun, Shouyang Wang and Xun Zhang
- The macroeconomic impact of organised crime: A post-Keynesian analysis pp. 514-528

- Caterina Astarita, Carlo Capuano and Francesco Purificato
- Tax plan debates in the US presidential election: A dynamic CGE analysis of growth and redistribution trade-offs pp. 529-542

- Keshab Bhattarai, Paul Bachman, Frank Conte, Jonathan Haughton, Michael Head and David G. Tuerck
- Government spending shocks and the real exchange rate in China: Evidence from a sign-restricted VAR model pp. 543-554

- Yong Chen and Dingming Liu
- Wine indices in practice: Nicely labeled but slightly corked pp. 555-569

- Philippe Masset and Jean-Philippe Weisskopf
- The beta heuristic from a time/frequency perspective: A wavelet analysis of the market risk of sectors pp. 570-585

- Bruce D. McNevin and Joan Nix
- A mixed data sampling copula model for the return-liquidity dependence in stock index futures markets pp. 586-598

- Yuting Gong, Qiang Chen and Jufang Liang
- Optimal effort under high-water mark contracts pp. 599-610

- Li Zhao, Wenli Huang and Shusong Ba
- A generalized CAPM model with asymmetric power distributed errors with an application to portfolio construction pp. 611-621

- Te Bao, Cees Diks and Hao Li
- Money and credit overhang in the euro area pp. 622-633

- Jingyang Liu and Clemens Kool
- The role of punctuation in P2P lending: Evidence from China pp. 634-643

- Xiao Chen, Bihong Huang and Dezhu Ye
- Does investor attention matter? The attention-return relationships in FX markets pp. 644-660

- Liyan Han, Yang Xu and Libo Yin
- Stock market development and economic growth: Empirical evidence from China pp. 661-673

- Lei Pan and Vinod Mishra
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