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 44, issue S1, 2014
- Wage leadership models: A country-by-country analysis of the EMU pp. S2-S11

- Mariam Camarero, Gaetano D'Adamo and Cecilio Tamarit
- DSGE models and the Lucas critique pp. S12-S19

- Samuel Hurtado
- The role of culture on self-employment pp. S20-S32

- Miriam Marcén
- Product sophistication: A tie that binds partners in international trade pp. S33-S41

- David Córcoles, Carmen Diaz-Mora and Rosario Gandoy
- Recent reforms in Spanish housing markets: An evaluation using a DSGE model pp. S42-S49

- Juan Mora-Sanguinetti and Margarita Rubio
- Is the European debt crisis a mere balance of payments crisis? pp. S50-S56

- David Guerreiro
- Means-testing and economic efficiency in pension design pp. S57-S67

- Hans Fehr and Johannes Uhde
- Temporary speed limit changes: An econometric estimation of the effects of the Spanish Energy Efficiency and Saving Plan pp. S68-S76

- José I. Castillo-Manzano, Mercedes Castro-Nuño and Diego J. Pedregal-Tercero
- How FDI influences the triangular trade pattern among China, East Asia and the U.S.? A CGE analysis of the sector of Electronics in China pp. S77-S88

- Jing Zhou and María Latorre
Volume 44, issue C, 2015
- Patent rights protection and foreign direct investment in Asian countries pp. 1-6

- Judy Hsu and Yu-En Tiao
- Reform of Australian urban transport: A CGE-microsimulation analysis of the effects on income distribution pp. 7-17

- George Verikios and Xiao-guang Zhang
- Targets and lags in a two-equation model of US stabilization pp. 18-24

- David Kiefer
- Does globalization promote real output? Evidence from quantile cointegration regression pp. 25-36

- Chun-Ping Chang, Chien-Chiang Lee and Meng-Chi Hsieh
- Price versus quantity in a mixed duopoly: The case of relative profit maximization pp. 37-43

- Yasuhiko Nakamura
- The impact of financial distress on corporate tax avoidance spanning the global financial crisis: Evidence from Australia pp. 44-53

- Grant Richardson, Grantley Taylor and Roman Lanis
- Bull, bear or any other states in US stock market? pp. 54-58

- Yu Jiang and Xianming Fang
- The relation between asset growth and the cross-section of stock returns: Evidence from the Chinese stock market pp. 59-67

- Yifeng Wang, Cheyuan Liu, Jen-Sin Lee and Yanming Wang
- Military expenditures and political regimes: Evidence from global data, 1963–2000 pp. 68-79

- Ünal Töngür, Sara Hsu and Adem Elveren
- Risk paradigm and risk evaluation of farmers cooperatives' technology innovation pp. 80-85

- Jian-Li Luo and Zhen-Hua Hu
- Robust analysis for downside risk in portfolio management for a volatile stock market pp. 86-96

- Usman Ayub, Syed Zulfiqar Ali Shah and Qaisar Abbas
- CO2 emissions, economic growth, energy consumption, trade and urbanization in new EU member and candidate countries: A panel data analysis pp. 97-103

- Adnan Kasman and Yavuz Selman Duman
- Economic growth with coal, oil and renewable energy consumption in China: Prospects for fuel substitution pp. 104-115

- Harry Bloch, Shuddhasattwa Rafiq and Ruhul Salim
- Changes in inflation dynamics under inflation targeting? Evidence from Central European countries pp. 116-130

- Jaromir Baxa, Miroslav Plašil and Bořek Vašíček
- International transmission of monetary shocks to the Euro area: Evidence from the U.S., Japan and China pp. 131-141

- Joaquin Vespignani
- How strong is the linkage between tourism and economic growth in Europe? pp. 142-155

- Nikolaos Antonakakis, Mina Dragouni and George Filis
- More ads more revs: A note on media bias in review likelihood pp. 156-161

- Ralf Dewenter and Ulrich Heimeshoff
- Modeling loss given default with stochastic collateral pp. 162-170

- Robert Frontczak and Stefan Rostek
- What drives national efficiency in sub-Saharan Africa pp. 171-179

- Michael Danquah and Bazoumana Ouattara
- Learning-by-doing and unemployment dynamics pp. 180-187

- Sherif Khalifa
- Applying the New Metafrontier Directional Distance Function to Compare Banking Efficiencies in Central and Eastern European Countries pp. 188-199

- Tai-Hsin Huang, Dien-Lin Chiang and Chao-Min Tsai
- The Great Depression in Spain pp. 200-214

- Eduardo Giménez and María Montero
- Forecasting macroeconomic data for an emerging market with a nonlinear DSGE model pp. 215-228

- Mehmet Balcilar, Rangan Gupta and Kevin Kotze
- How stable is the export-led growth hypothesis? Evidence from Asia's Four Little Dragons pp. 229-235

- Chor Foon Tang, Yew Wah Lai and Ilhan Ozturk
- Engel curves and price elasticity in urban Chinese Households pp. 236-242

- Lianyou Li, Ze Song and Chao Ma
- Explaining the convenience yield in the WTI crude oil market using realized volatility and jumps pp. 243-251

- Benoît Sévi
- Child benefit and fiscal burden in the endogenous fertility setting pp. 252-265

- Ryo Ishida, Kazumasa Oguro and Junichiro Takahata
- Forecasting Portuguese GDP with factor models: Pre- and post-crisis evidence pp. 266-272

- Francisco Dias, Maximiano Pinheiro and António Rua
- World gold prices and stock returns in China: Insights for hedging and diversification strategies pp. 273-282

- Mohamed Arouri, Amine Lahiani and Duc Khuong Nguyen
- Contagion of the Global Financial Crisis and the real economy: A regional analysis pp. 283-293

- Dimitris Kenourgios and Dimitrios Dimitriou
- Comovement of Chinese provincial business cycles pp. 294-306

- Jamel Gatfaoui and Eric Girardin
- Output adjusting cartels facing dynamic, convex demand under uncertainty: The case of OPEC pp. 307-316

- Franz Wirl
- Economic forecasts and sovereign yields pp. 319-326

- Antonio Afonso and Ana Sofia Nunes
- Comparing the shape of recoveries: France, the UK and the US pp. 327-334

- Frédérique Bec, Othman Bouabdallah and Laurent Ferrara
- Financial integration in the euro area: Pro-cyclical effects and economic convergence pp. 335-342

- Saskia de Vries-van Ewijk and Ivo Arnold
- Testing for external sustainability under a monetary integration process. Does the Lawson doctrine apply to Europe? pp. 343-349

- Mariam Camarero, Josep Carrion-i-Silvestre and Cecilio Tamarit
- Assessing the impact of fiscal measures on the Czech economy pp. 350-357

- Robert Ambrisko, Jan Babecký, Jakub Rysanek and Vilém Valenta
- Nonlinear effects of asset prices on fiscal policy: Evidence from the UK, Italy and Spain pp. 358-362

- Luca Agnello, Gilles Dufrénot and Ricardo Sousa
- On the time-varying relationship between EMU sovereign spreads and their determinants pp. 363-371

- Antonio Afonso, Michael Arghyrou, George Bagdatoglou and Alexandros Kontonikas
- Private sector deleveraging in Europe pp. 372-383

- Carlos Cuerpo, Ines Drumond, Julia Lendvai, Peter Pontuch and Rafal Raciborski
Volume 43, issue C, 2014
- Aggregated and disaggregated import demand in China: An empirical study pp. 1-8

- Giray Gözgör
- A two-regime threshold model with conditional skewed Student t distributions for stock returns pp. 9-20

- Daniele Massacci
- Monetary policy credibility and exchange rate pass-through: Some evidence from emerging countries pp. 21-29

- Abdul Aleem and Amine Lahiani
- Analysis of the financial parameters of Serbian banks through the application of the fuzzy AHP and TOPSIS methods pp. 30-37

- Ksenija Mandic, Boris Delibasic, Snezana Knezevic and Sladjana Benkovic
- New evidence from the random walk hypothesis for BRICS stock indices: a wavelet unit root test approach pp. 38-41

- Aviral Tiwari and Phouphet Kyophilavong
- “Little Science” and “Big Science”: The institution of “Open Science” as a cause of scientific and economic inequalities among countries pp. 42-56

- Maria Rosaria Carillo and Erasmo Papagni
- Asymmetric behavior of Australia's Big-4 banks in the mortgage market pp. 57-66

- Abbas Valadkhani and Andrew Worthington
- Pass-through of oil prices to domestic prices: Evidence from an oil-hungry but oil-poor emerging market pp. 67-74

- Dinçer Dedeoğlu and Huseyin Kaya
- Convergence behavior of carbon dioxide emissions in China pp. 75-80

- Yiming Wang, Pei Zhang, Dake Huang and Changda Cai
- The equity premium in a small open economy and an application to Israel pp. 81-99

- Eliezer Borenstein and David Elkayam
- Simulating economic growth effects on food and nutrition security in Yemen: A new macro–micro modeling approach pp. 100-113

- Clemens Breisinger and Olivier Ecker
- The socially responsible choice in a duopolistic market: A dynamic model of “ethical product” differentiation pp. 114-123

- Leonardo Becchetti, Arsen Palestini, Nazaria Solferino and M. Elisabetta Tessitore
- Preemptive investment game with alternative projects pp. 124-135

- Michi Nishihara
- Business cycle, interest rate and money in the euro area: A common factor model pp. 136-141

- José Luis Cendejas Bueno, Juan E. Castañeda and Félix-Fernando Muñoz
- Bank lending procyclicality and credit quality during financial crises pp. 142-157

- Guglielmo Maria Caporale, Stefano Di Colli and Juan Sergio Lopez
- Institutional investors, political connections and analyst following in Malaysia pp. 158-167

- Janice How, Peter Verhoeven and Effiezal Aswadi Abdul Wahab
- International outsourcing, wage gap, and welfare pp. 168-172

- Chu-Ping Lo
- Insider trading and information revelation with the introduction of futures markets pp. 173-182

- Chih-Hsiang Hsu and Hsiu-Chuan Lee
- Forecasting Canadian inflation: A semi-structural NKPC approach pp. 183-191

- Maral Kichian and Fabio Rumler
- Money–output Granger causal dynamics in China pp. 192-200

- Xia Wang, Tingguo Zheng and Yanli Zhu
- Why should Southern economies stay in the Euro Zone? The role of labor markets pp. 201-208

- Amélie Barbier-Gauchard, Francesco De Palma and Giuseppe Diana
- Admission standards, student effort, and the creation of skilled jobs pp. 209-216

- William Blankenau and Yuan Gao
- Regional stock market integration in Singapore: A multivariate analysis pp. 217-224

- Frédéric Teulon, Khaled Guesmi and Selim Mankai
- Options and strategies for fiscal consolidation in India pp. 225-237

- Sampawende Tapsoba
- Novel three-bank model for measuring the systemic importance of commercial banks pp. 238-246

- Jing Lu and Xiaohong Hu
- A new Keynesian triangle Phillips curve pp. 247-255

- Christopher Malikane
- China's structural change: A new SDA model pp. 256-266

- Fei Wang, Baomin Dong, Xiaopeng Yin and Chi An
- Financial development and economic growth in an oil-rich economy: The case of Saudi Arabia pp. 267-278

- Nahla Samargandi, Jan Fidrmuc and Sugata Ghosh
- An estimation of the demand and supply for physician services using a panel data pp. 279-286

- Akbar Marvasti
- The determinants of foreign direct investment in Malaysia: A case for electrical and electronic industry pp. 287-292

- Chor Foon Tang, Chee Yin Yip and Ilhan Ozturk
- Hysteresis versus natural rate in Taiwan's unemployment: Evidence from the educational attainment categories pp. 293-304

- Ming-Jen Chang and Che-Yi Su
- Market structure and R&D investment spillovers pp. 321-329

- Takashi Shibata
- Inflation targeting and exchange rate volatility smoothing: A two-target, two-instrument approach pp. 330-345

- Carlos Castillo-Maldonado
- Stability periods between financial crises: The role of macroeconomic fundamentals and crises management policies pp. 346-360

- Zorobabel Bicaba, Daniel Kapp and Francesco Molteni
- Does fiscal decentralization promote the inflow of FDI in China? pp. 361-371

- Qichun He and Meng Sun
- The efficiency of SMEs in Thai manufacturing: A stochastic frontier analysis pp. 372-393

- Teerawat Charoenrat and Charles Harvie
- An empirical analysis of currency volatilities during the recent global financial crisis pp. 394-406

- Itir Ozer-Imer and Ibrahim Ozkan
- Comparing behavioural and rational expectations for the US post-war economy pp. 407-415

- Chunping Liu and A. Patrick Minford
- Covariance estimation using high-frequency data: Sensitivities of estimation methods pp. 416-425

- Erik Haugom, Gudbrand Lien, Steinar Veka and Sjur Westgaard
- Exchange rate exposure at the firm and industry levels: Evidence from Turkey pp. 426-434

- Gokhan H. Akay and Atilla Cifter
- Foreign aid, leisure–effort choice, and economic growth pp. 435-438

- Xiangbo Liu, Xiaomeng Zhang and Chi-Chur Chao
- The effects of purchasing and price subsidy policies for agricultural products under target zones pp. 439-447

- Chen Li-Ju, Shih-Wen Hu, Vey Wang, Jiandong Wen and Chusheng Ye
- Effects of volatility shocks on the dynamic linkages between exchange rate, interest rate and the stock market: The case of Turkey pp. 448-457

- Ahmet Sensoy and Cihat Sobaci
- Optimal retirement age, leisure and consumption pp. 458-464

- Hong Mao, Krzysztof M. Ostaszewski and Yuling Wang
- Sectoral asymmetries in a small open economy pp. 465-475

- S. Tolga Tiryaki
- New implications of Lazear's skill-weights approach pp. 476-479

- Hodaka Morita and Clare Noone
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