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 57, issue C, 2016
- The (strong) interdependence between intermediate producer services' attributes and manufacturing location pp. 1-12

- Luis Lanaspa, Fernando Sanz-Gracia and María Vera-Cabello
- Impact of mega trade deals on China: A computational general equilibrium analysis pp. 13-25

- Chunding Li, Jing Wang and John Whalley
- Analyzing the efficiency performance of major Australian mining companies using bootstrap data envelopment analysis pp. 26-35

- Ahmad Hosseinzadeh, Russell Smyth, Abbas Valadkhani and Viet Le
- Islamic financial markets and global crises: Contagion or decoupling? pp. 36-46

- Dimitris Kenourgios, Nader Naifar and Dimitrios Dimitriou
- Peak-load pricing in duopoly pp. 47-54

- Jeong-Yoo Kim, Myeong Ho Lee and Nathan Berg
- The labor market effects of skill-biased technological change in Malaysia pp. 55-75

- Mohamed Marouani and Björn Nilsson
- Beyond representative households: The macro–micro impact analysis of VAT designs applied to Niger pp. 76-92

- Céline de Quatrebarbes, Dorothee Boccanfuso and Luc Savard
- Optimal value of a patent in an asymmetric Cournot duopoly market pp. 93-105

- Uday Bhanu Sinha
- Stock market liquidity and economic cycles: A non-linear approach pp. 106-119

- Lorne N. Switzer and Alan Picard
- Business cycles in a balance-of-payments constrained growth framework pp. 120-132

- Carlos Garcimartin, Virmantas Kvedaras and Luis Rivas
- Factor income taxation, growth, and investment specific technological change pp. 133-152

- Monisankar Bishnu, Chetan Ghate and Pawan Gopalakrishnan
- Modeling heterogeneous inflation expectations: empirical evidence from demographic data? pp. 153-163

- Yingying Xu, Hsu-Ling Chang, Oana-Ramona Lobonţ and Chi-Wei Su
- Gold returns: Do business cycle asymmetries matter? Evidence from an international country sample pp. 164-170

- Nicholas Apergis and Sofia Eleftheriou
- Regional convergence within particular country — An approach based on the regional price deflators pp. 171-179

- Bartlomiej Rokicki and Geoffrey J.D. Hewings
- A bivariate Hawkes process for interest rate modeling pp. 180-196

- Donatien Hainaut
- Financial development and the shadow economy: A panel VAR analysis pp. 197-207

- Aziz N. Berdiev and James W. Saunoris
- Global financial conditions and asset markets: Evidence from fragile emerging economies pp. 208-220

- Zekeriya Yildirim
- A good career or a good marriage: The returns of higher education in France pp. 221-237

- Pierre Courtioux and Vincent Lignon
- Weathering the storm: ownership structure and performance of microfinance institutions in the wake of the global financial crisis pp. 238-247

- Mahinda Wijesiri
- Youth unemployment and welfare gains from eliminating business cycles — The case of Poland pp. 248-262

- Jan Acedański
- Do oil producing countries offer international diversification benefits? Evidence from GCC countries pp. 263-280

- Karim Mimouni, Lanouar Charfeddine and Moh'd Al-Azzam
- How to regulate bank dividends? Is capital regulation an answer? pp. 281-293

- Badar Nadeem Ashraf, Bushra Bibi and Changjun Zheng
- Endogenous environmental policy for small open economies with transboundary pollution pp. 294-310

- Joachim Fünfgelt and Günther G. Schulze
- Intervention time series analysis of crime rates: The case of sentence reform in Virginia pp. 311-323

- Sunčica Vujić, Jacques J.F. Commandeur and Siem Jan Koopman
- Education, male gender preference and migrants' remittances: Interactions in rural Morocco pp. 324-331

- Jamal Bouoiyour, Amal Miftah and El Mouhoub Mouhoud
Volume 56, issue C, 2016
- Parameter uncertainty and inflation dynamics in a model with asymmetric central bank preferences pp. 1-10

- Laban K. Chesang and Ruthira Naraidoo
- Monetary shocks, macroprudential shocks and financial stability pp. 11-24

- Matthew Greenwood-Nimmo and Artur Tarassow
- Financial crises and the evolution of credit reallocation: Evidence from Korea pp. 25-34

- Junghwan Hyun
- Revisiting the accelerator principle in a world of uncertainty: Some empirical evidence pp. 35-42

- Philip Arestis and Ana Rosa Gonzalez-Martinez
- Market reaction to internet news: Information diffusion and price pressure pp. 43-49

- Yongjie Zhang, Weixin Song, Dehua Shen and Wei Zhang
- Regional income inequality in China revisited: A perspective from club convergence pp. 50-58

- Xu Tian, Xiaoheng Zhang, Yingheng Zhou and Xiaohua Yu
- Macroeconomic effects of cost equivalent business fiscal incentives pp. 59-65

- Ahiteme N. Houndonougbo and Mohammed Mohsin
- Asymmetric causality using frequency domain and time-frequency domain (wavelet) approaches pp. 66-78

- Mohsen Bahmani-Oskooee, Tsangyao Chang and Omid Ranjbar
- From pro-natalist rhetoric to population policies in Turkey? An OLG general equilibrium analysis pp. 79-93

- Patrick Georges and Aylin Seçkin
- To educate or not to educate: Impact of public policies in developing countries pp. 94-101

- Hamid Beladi, Chaitali Sinha and Saibal Kar
- A high-frequency analysis of the interactions between REIT return and volatility pp. 102-108

- Jian Zhou
- Policy failure or success? Detecting market failure in China's housing market pp. 109-121

- W.D. Chen
- The moderating role of firm age in the relationship between R&D expenditure and financial performance: Evidence from Chinese and US mining firms pp. 122-132

- Shuddhasattwa Rafiq, Ruhul Salim and Russell Smyth
- Causes and hazards of the euro area sovereign debt crisis: Pure and fundamentals-based contagion pp. 133-147

- Marta Gómez-Puig and Simon Sosvilla-Rivero
- What drives the labour wedge? A comparison between CEE countries and the Euro Area pp. 148-161

- Małgorzata Skibińska
- Nonlinear approaches in testing PPP: Evidence from Southern African development community pp. 162-167

- Mulatu Zerihun and Marthinus Breitenbach
- Gold and silver manipulation: What can be empirically verified? pp. 168-176

- Jonathan Batten, Brian Lucey and Maurice Peat
- How does capital regulation react to monetary policy? New evidence on the risk-taking channel pp. 177-186

- Claudio de Moraes, Gabriel Montes and José Américo Pereira Antunes
Volume 55, issue C, 2016
- SME's lending and Islamic finance. Is it a “win–win” situation? pp. 1-5

- Mohamed Shaban, Meryem Duygun and John Fry
- Interdependence of foreign exchange markets: A wavelet coherence analysis pp. 6-14

- Lu Yang, Xiao Jing Cai, Huimin Zhang and Shigeyuki Hamori
- Do children of the first marriage deter divorce? pp. 15-31

- Héctor Bellido, José Alberto Molina, Anne Solaz and Elena Stancanelli
- Cross-country output convergence and growth: Evidence from varying coefficient nonparametric method pp. 32-41

- Kui-Wai Li, Xianbo Zhou and Zhewen Pan
- The Laffer curve in schedular multi-rate income taxes with non-genuine allowances: An application to Spain pp. 42-56

- José Félix Sanz-Sanz
- The role of identity and authority from anarchy to order: Insights from modeling the trajectory of dueling in Europe pp. 57-72

- Mehrdad Vahabi and Behrooz Hassani-Mahmooei
- Emission tax and optimal privatization in Cournot–Bertrand comparison pp. 73-82

- Lili Xu, Sumi Cho and Sang-Ho Lee
- How might the South be helped by Northern technology yet harmed by Northern money? pp. 83-91

- Wenli Cheng and Dingsheng Zhang
- Electricity consumption modelling: A case of Germany pp. 92-101

- Linh Phuong Catherine Do, Kuan-Heng Lin and Peter Molnár
- The New Keynesian Phillips Curve in multiple quantiles and the asymmetry of monetary policy pp. 102-114

- Dong Jin Lee and Jai Hyung Yoon
- A new trade network theory: What economists can learn from engineers pp. 115-126

- Michael Hübler
- Business cycle and bank lending procyclicality in a dual banking system pp. 127-134

- Mansor Ibrahim
- Industry dynamics under production constraints — The case of the EU dairy sector pp. 135-151

- Stefan Kersting, Silke Hüttel and Martin Odening
- Pricing beliefs: Empirical evidence from the implied cost of deposit insurance for Islamic banks pp. 152-168

- Jocelyn Grira, M. Kabir Hassan and Issouf Soumaré
- The income effect under uncertainty: A Slutsky-like decomposition with risk aversion pp. 169-178

- Elena Antoniadou, Leonard Mirman and Marc Santugini
- Environmental research joint ventures and time-consistent emission tax: Endogenous choice of R&D formation pp. 179-188

- Yasunori Ouchida and Daisaku Goto
- Shift in demand elasticities, road energy forecast and the persistence profile of shocks pp. 189-206

- Philip Adom, Kwaku Amakye, Charles Barnor, George Quartey and William Bekoe
- To engage or not to engage in corporate social responsibility: Empirical evidence from global banking sector pp. 207-225

- Chung-Hua Shen, Meng-Wen Wu, Ting-Hsuan Chen and Hao Fang
- Interpreting the movement of oil prices: Driven by fundamentals or bubbles? pp. 226-240

- Yue-Jun Zhang and Ting Yao
- Interdependencies between Atlantic and Pacific agreements: Evidence from agri-food sectors pp. 241-253

- Anne-Célia Disdier, Charlotte Emlinger and Jean Fouré
- Fiscal policy as a temptation control device: Savings subsidy and social security pp. 254-268

- Chung Tran
- Can consumer price index predict gold price returns? pp. 269-278

- Susan Sunila Sharma
- Trillions gained and lost: Estimating the magnitude of growth episodes pp. 279-291

- Lant Pritchett, Kunal Sen, Sabyasachi Kar and Selim Raihan
- Spillovers from the beer market to U.S. cigarette demand pp. 292-297

- Rajeev Goel, James Payne and James W. Saunoris
- R2 and idiosyncratic volatility: Which captures the firm-specific return variation? pp. 298-304

- Wei Zhang, Xiao Li, Dehua Shen and Andrea Teglio
- Further application of Narayan and Liu (2015) unit root model for trending time series pp. 305-314

- Afees Salisu and Adegoke Adeleke
- Individual transferable quotas in Cournot competition pp. 315-321

- Yasunori Okumura
- The optimal percentage requirement and welfare comparisons in a two-country electricity market with a common tradable green certificate system pp. 322-327

- Yanming Sun
- Are Armington elasticities different across countries and sectors? A European study pp. 328-342

- Zoryana Olekseyuk and Hannah Schürenberg-Frosch
- A multiple threshold analysis of the Fed's balancing act during the Great Moderation pp. 343-358

- Saad Ahmad
- Heterogeneous lending behaviors and gross loan flows in developing economies pp. 359-372

- Junghwan Hyun and Azad Uddin
- Polarization or convergence? An analysis of regional unemployment disparities in Europe over time pp. 373-381

- Robert Beyer and Michael A. Stemmer
- Does devaluation improve trade balance in small island economies? The case of Fiji pp. 382-393

- Kushneel Prakash and Dibyendu Maiti
- Are taxes a good predictor of time use patterns? Examining the role of some key elasticities pp. 394-400

- Manuel Gómez
- The effects of foreign direct investment on emigration: The roles of FDI source country, education, and gender pp. 401-409

- Xu Xu and Kevin Sylwester
- Recovery from natural disaster: A numerical investigation based on the convergence approach pp. 410-420

- Kei Hosoya
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