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 63, issue C, 2017
- Asset quality, non-interest income, and bank profitability: Evidence from Indian banks pp. 1-14

- M. Mostak Ahamed
- The growth-volatility nexus: New evidence from an augmented GARCH-M model pp. 15-25

- Steven Trypsteen
- Debt sustainability in emerging market countries: Some policy guidelines from a fan-chart approach pp. 26-45

- Anne Paret
- Market power and risk of Central and Eastern European banks: Does more powerful mean safer? pp. 46-59

- Ion Lapteacru
- Carbon pricing and terms of trade effects for China and India: A general equilibrium analysis pp. 60-74

- Basanta K. Pradhan, Joydeep Ghosh, Yun-Fei Yao and Qiao-Mei Liang
- Trade reform in Iran for accession to the World Trade Organization: Analysis of welfare and environmental impacts pp. 75-85

- Zakariya Farajzadeh, Xueqin Zhu and Mohammad Bakhshoodeh
- On the asymmetric effects of exchange rate volatility on trade flows: New evidence from US-Malaysia trade at the industry level pp. 86-103

- Mohsen Bahmani-Oskooee and Muhammad Aftab
- How do neighboring peer companies influence SMEs’ financial behavior? pp. 104-114

- Mariluz Maté-Sánchez-Val, Fernando López-Hernandez and Jesus Mur
- Multifactor CES general equilibrium: Models and applications pp. 115-127

- Jiyoung Kim, Satoshi Nakano and Kazuhiko Nishimura
- Potential socio-economic implications of future climate change and variability for Nigerien agriculture: A countrywide dynamic CGE-Microsimulation analysis pp. 128-142

- Jean-Marc Montaud, Nicolas Pécastaing and Mahamadou Tankari
- An empirical analysis of the nexus between investment, fiscal balances and current account balances in Greece, Portugal and Spain pp. 143-152

- Ioannis Litsios and Keith Pilbeam
- Climate change, fossil fuel prices and depletion: The rationale for a falling export tax pp. 153-160

- Creina Day and Garth Day
- SIDD: An adaptable framework for analysing the distributional implications of policy alternatives where savings and employment decisions matter pp. 161-174

- Justin van de Ven
- Inattentive agents and disagreement about economic activity pp. 175-190

- Joonyoung Hur and Insu Kim
- Contagion risk for Australian banks from global systemically important banks: Evidence from extreme events pp. 191-205

- Selim Akhter and Kevin Daly
- Unique and multiple equilibria in a macroeconomic model with environmental quality: An analysis of local stability pp. 206-214

- Azam Chaudhry, Hafsa Tanveer and Rehana Naz
- Determinants of control structure choice between entrepreneurs and investors in venture capital-backed startups pp. 215-225

- Lei Wang, Fangzhao Zhou and Yunbi An
- Does the design of a fiscal rule matter for welfare? pp. 226-237

- Stuart Landon and Constance Smith
- Governance, resources and growth pp. 238-261

- Md Al Mamun, Kazi Sohag and M. Kabir Hassan
- Does the New Keynesian Phillips curve need countercyclical markups? pp. 262-282

- Bae-Geun Kim
- The relevance and relative robustness of sources of inflation bias in Pakistan pp. 283-303

- Zafar Hayat, Faruk Balli and Muhammad Rehman
- Democracy-growth nexus and its interaction effect on human development: A cross-national analysis pp. 304-310

- Shrabani Saha and Zhaoyong Zhang
- Indivisibilities in the Ricardian model of trade pp. 311-317

- Kwok Tong Soo
- Dual market competition and deposit rate setting in Islamic and conventional banks pp. 318-333

- Céline Meslier, Tastaftiyan Risfandy and Amine Tarazi
- Flattening of the New Keynesian Phillips curve: Evidence for an emerging, small open economy pp. 334-348

- Karol Szafranek
Volume 62, issue C, 2017
- The macro impact of microfinance in Bangladesh: A CGE analysis pp. 1-15

- Selim Raihan, S.R. Osmani and M.A. Baqui Khalily
- The effect of a Chinese slowdown on inflation in the euro area and the United States pp. 16-22

- Luca Metelli and Filippo Natoli
- Do inward looking trade policies affect poverty and income inequality? Evidence from Indonesia's recent wave of rising protectionism pp. 23-34

- Renuka Mahadevan, Anda Nugroho and Hidayat Amir
- Mean-variance portfolio selection with only risky assets under regime switching pp. 35-42

- Miao Zhang, Ping Chen and Haixiang Yao
- A general equilibrium assessment of climate change–induced loss of agricultural productivity in Nepal pp. 43-50

- Sudarshan Chalise, Athula Naranpanawa, Jayatilleke S. Bandara and Tapan Sarker
- Contagion effects of U.S. Dollar and Chinese Yuan in forward and spot foreign exchange markets pp. 51-67

- Erdem Kilic
- Does wage-inflation targeting complement foreign exchange intervention? An evaluation of a multi-target, two-instrument monetary policy framework pp. 68-81

- Taojun Xie, Jingting Liu, Joseph Alba and Wai-Mun Chia
- Modelling countervailing incentives in adverse selection models: A synthesis pp. 82-89

- Iñaki Aguirre and Arantza Beitia
- The impact of mobility on early career earnings: A quantile regression approach for UK graduates pp. 90-102

- Michael P Kidd, Nigel O'Leary and Peter Sloane
- How does global demand for financial services promote domestic growth in Luxembourg? A dynamic general equilibrium analysis pp. 103-123

- Luca Marchiori and Olivier Pierrard
- Effects of patent protection on economic growth and welfare in a two-R&D-sector economy pp. 124-129

- Yuki Saito
- Macroeconomic imbalances and business cycle synchronization. Why common economic governance is imperative for the Eurozone pp. 130-144

- Elizaveta Lukmanova and Gabriele Tondl
- Leverage versus volatility: Evidence from the capital structure of European firms pp. 145-160

- AbdelKader EL Alaoui, Obiyathulla Ismath Bacha, Abul Masih and Mehmet Asutay
- Current account imbalances: A new approach to assess external debt sustainability pp. 161-170

- Willi Semmler and Ibrahim Tahri
- Different forms of decentralization and their impact on government performance: Micro-level evidence from 113 countries pp. 171-183

- Rajeev Goel, Ummad Mazhar, Michael Nelson and Rati Ram
- An evolutionary stable strategy for retailers selling complementary goods subject to indirect network externalities pp. 184-193

- Yuyin Yi and Haishen Yang
- Can energy commodity futures add to the value of carbon assets? pp. 194-206

- Xiaoqian Wen, Elie Bouri and David Roubaud
- Impacts of globalization on the informal sector: Empirical evidence from developing countries pp. 207-218

- Thi Hong Hanh Pham
Volume 61, issue C, 2017
- Testing the dependency theory on small island economies: The case of Cyprus pp. 1-11

- Mehmet Balcilar, Ali Kutan and Mehmet Yaya
- Forecasting the realized range-based volatility using dynamic model averaging approach pp. 12-26

- Jing Liu, Yu Wei, Feng Ma and M.I.M. Wahab
- US economic policy uncertainty and co-movements between Chinese and US stock markets pp. 27-39

- Xiao-Ming Li and Lu Peng
- Competition in the stock market with asymmetric information pp. 40-49

- Kun Tracy Wang and Wanbin Walter Wang
- Speculative behavior in a housing market: Boom and bust pp. 50-64

- Min Zheng, Hefei Wang, Chengzhang Wang and Shouyang Wang
- Do remittances improve political institutions? Evidence from Sub-Saharan Africa pp. 65-75

- Kevin Williams
- Explaining changes in the US credit card market: Lenders are using more information pp. 76-92

- Andrew Davis and Jiseob Kim
- Growth, human development, and trade: The Asian experience pp. 93-101

- Ghulam Mustafa, Marian Rizov and David Kernohan
- Liberalization, bankers’ motivation and productivity: A simple model with an application pp. 102-112

- Kul Luintel, Sheikh Selim and Pushkar Bajracharya
- Dynamic asset allocation and consumption under inflation inequality: The impacts of inflation experiences and expectations pp. 113-125

- Shaoyu Li, Lijia Wei and Zhiwei Xu
- Aggregation bias-correcting approach to the health–income relationship: Life expectancy and GDP per capita in 148 countries, 1970–2010 pp. 126-136

- Mikael Linden and Devdatta Ray
- A green winner's curse? Investor behavior in the market for eco-certified office buildings pp. 137-146

- Franz Fuerst, Tommaso Gabrieli and Patrick McAllister
- Forecasting house prices using dynamic model averaging approach: Evidence from China pp. 147-155

- Yu Wei and Yang Cao
- Productivity differences and inter-state migration in the U.S.: A multilateral gravity approach pp. 156-168

- Anindya S. Chakrabarti and Aparna Sengupta
- Volatility spillovers and determinants of contagion: Exchange rate and equity markets during crises pp. 169-180

- Henry Leung, Dirk Schiereck and Florian Schroeder
- A panel stationarity test with gradual structural shifts: Re-investigate the international commodity price shocks pp. 181-192

- Saban Nazlioglu and Cagin Karul
- Gender and central banking pp. 193-206

- Ibrahima Diouf and Dominique Pépin
- Equitable fiscal consolidations pp. 207-223

- Maria Ferrara and Patrizio Tirelli
- Optimal fiscal decentralization: Redistribution and welfare implications pp. 224-234

- Erkmen Aslim and Bilin Neyapti
- A simple dynastic economy with parental time investment in children’s patience pp. 235-247

- Tetsugen Haruyama and Hyun Park
- Stock price synchronicity to oil shocks across quantiles: Evidence from Chinese oil firms pp. 248-259

- Cheng Peng, Huiming Zhu, Xianghua Jia and Wanhai You
- Return and volatility spillovers effects: Evaluating the impact of Shanghai-Hong Kong Stock Connect pp. 260-272

- Rui Huo and Abdullahi Ahmed
- Differential effects of trade openness on Indian manufacturing firms pp. 273-292

- Subhadip Mukherjee and Rupa Chanda
- Managing external macroeconomic imbalances in the EU: the welfare cost of scoreboard-based constraints pp. 293-311

- Andrzej Torój
- International environmental agreements with ancillary benefits: Repeated games analysis pp. 312-320

- Nobuyuki Takashima
- Macroeconomic impacts of fiscal policy shocks in the UK: A DSGE analysis pp. 321-338

- Keshab Bhattarai and Dawid Trzeciakiewicz
- Credit expansion and financial stability in Malaysia pp. 339-350

- Seow Shin Koong, Siong Hook Law and Mansor Ibrahim
- Does trend inflation make a difference? pp. 351-375

- Michele Loberto and Chiara Perricone
- Decomposing changes in the conditional variance of GDP over time pp. 376-387

- Shahram Amini, Michele Battisti and Christopher Parmeter
- Parameter instability, stochastic volatility and estimation based on simulated likelihood: Evidence from the crude oil market pp. 388-408

- Nima Nonejad
- Does foreign direct investment crowd in or crowd out private domestic investment in China? The effect of entry mode pp. 409-419

- George Chen, Yao Yao and Julien Malizard
- Trade-induced productivity gains reduce incentives to impose strategic tariffs pp. 420-431

- Michael Hübler and Frank Pothen
- Indeterminacy, capital maintenance expenditures and the business cycle pp. 432-438

- Dou Jiang
- Green versus brown: Comparing the employment impacts of energy efficiency, renewable energy, and fossil fuels using an input-output model pp. 439-447

- Heidi Garrett-Peltier
- Asymmetric effects of fiscal policy in EU and OECD countries pp. 448-461

- Jernej Mencinger, Aleksander Aristovnik and Miroslav Verbič
- Financial frictions and optimal stabilization policy in a monetary union pp. 462-477

- Jakob Palek and Benjamin Schwanebeck
- The demand of energy from an optimal portfolio choice perspective pp. 478-494

- Zaghum Umar
- GHG mitigation schemes and energy policies: A model-based assessment for the Italian economy pp. 495-509

- Barbara Annicchiarico, Susan Battles, Fabio Di Dio, Pierfrancesco Molina and Pietro Zoppoli
- Assessing the efficacy of borrower-based macroprudential policy using an integrated micro-macro model for European households pp. 510-528

- Marco Gross and Javier Población
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