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 31, issue C, 2013
- Nonlinearity and structural breaks in monetary policy rules with stock prices pp. 1-11

- Dong Jin Lee and Jong Chil Son
- Fuzzy possibilistic portfolio selection model with VaR constraint and risk-free investment pp. 12-17

- Ting Li, Weiguo Zhang and Weijun Xu
- A note on the three-sector Cobb–Douglas GDP function pp. 18-21

- Kazunobu Muro
- Early warning models against bankruptcy risk for Central European and Latin American enterprises pp. 22-30

- Tomasz Korol
- When does coordination for free trade regimes fail? pp. 31-36

- Minseong Kim and Young-Han Kim
- Reexamining the income inequality in China: Evidence from sequential panel selection method pp. 37-42

- Wen-Chi Liu
- Promoting intra-ASEAN FDI: The role of AFTA and AIA pp. 43-48

- Tajul Ariffin Masron
- What drives investment in the telecommunications sector? Some lessons from the OECD countries pp. 49-57

- John M. Paleologos and Michael Polemis
- Is there a role for caste and religion in food security policy? A look at rural India pp. 58-69

- Renuka Mahadevan and Sandy Suardi
- Corruption and economic development nexus: Variations across income levels in a non-linear framework pp. 70-79

- Shrabani Saha and Rukmani Gounder
- Stock markets in GCC countries and global factors: A further investigation pp. 80-86

- Jamel Jouini
- Regime-switching in volatility and correlation structure using range-based models with Markov-switching pp. 87-93

- Daniel Wei-Chung Miao, Chun-Chou Wu and Yi-Kai Su
- Education production efficiency: Evidence from Brazilian universities pp. 94-103

- Ana Carolina Zoghbi, Fabiana Rocha and Enlinson Mattos
- The asymmetry of inflation adjustment in Turkey pp. 104-118

- Serkan Cicek and Cüneyt Akar
- Inventory change, capacity utilization and the semiconductor industry cycle pp. 119-127

- Wen-Hsien Liu, Ching-Fan Chung and Kuang-Liang Chang
- The optimal decisions in franchising under profit uncertainty pp. 128-137

- Hueimei Liang, Kuo-Jung Lee, Jen-Tsung Huang and Hsien-Wei Lei
- Liquidity management of foreign exchange reserves in continuous time pp. 138-142

- Dewei Zhang, Yiqi Wang, Jingjing Wang and Weidong Xu
- Relaxing Israeli restrictions on Palestinian labour: Who benefits? pp. 143-150

- Dorothee Flaig, Khalid Siddig, Harald Grethe, Jonas Luckmann and Scott McDonald
- Decomposing time-frequency relationship between producer price and consumer price indices in Romania through wavelet analysis pp. 151-159

- Aviral Tiwari, Mihai Mutascu and Alin Marius Andries
- Forward-looking and myopic regional Computable General Equilibrium models: How significant is the distinction? pp. 160-176

- Patrizio Lecca, Peter McGregor and J. Kim Swales
- Price dispersion in the private health insurance industry: The case of Catalonia pp. 177-182

- M. Oliva and Misericordia Carles
- Development policies, transfer of pollution abatement technology and trans-boundary pollution pp. 183-188

- Xiaochun Li and Yu Zhou
- An empirical analysis of the downside risk-return trade-off at daily frequency pp. 189-197

- Benoît Sévi
- Convertible bonds with resettable conversion prices pp. 198-205

- Junfeng Qiu and Yongli Zhang
- Foreign direct investment, environmentally sound technology and informal sector pp. 206-213

- Sarbajit Chaudhuri and Ujjaini Mukhopadhyay
- The political economy of income comparisons and economic growth pp. 214-222

- Azam Chaudhry and Phillip Garner
- Population, land, and growth pp. 223-237

- Claire Loupias and Bertrand Wigniolle
- A structural VAR model of the Fiji Islands pp. 238-244

- Seema Narayan
- An economic manufacturing quantity model with probabilistic deterioration in a production system pp. 245-252

- Mitali Sarkar and Biswajit Sarkar
- Assessing macro-financial linkages: A model comparison exercise pp. 253-264

- R. Gerke, M. Jonsson, Martin Kliem, Marcin Kolasa, P. Lafourcade, Alberto Locarno, Krzysztof Makarski and Peter McAdam
- Long memory revisit in Chinese stock markets: Based on GARCH-class models and multiscale analysis pp. 265-275

- Xiaoqiang Lin and Fangyu Fei
- Testing for Granger causality in distribution tails: An application to oil markets integration pp. 276-285

- Bertrand Candelon, Marc Joëts and Sessi Tokpavi
- Inflation and interest rates in the presence of a cost channel, wealth effect and agent heterogeneity pp. 286-296

- Syed Ali and Sajid Anwar
- Patent licensing under cost asymmetry among firms pp. 297-307

- Kuang-Cheng Andy Wang, Wen-Jung Liang and Pin-Shu Chou
- Uncertainty, inequality and consumption preferences in urban China pp. 308-322

- Jingkui Zhou
- A fractal version of the Hull–White interest rate model pp. 323-334

- Donatien Hainaut
- Revisiting the FDI-led growth Hypothesis: The case of China pp. 335-343

- Ayse Yalta
- Finding the cointegration and causal linkages between the electricity production and economic growth in Pakistan pp. 344-350

- Muhammad Zeshan
- Fuzzy order quantity inventory model with fuzzy shortage quantity and fuzzy promotional index pp. 351-358

- Sujit Kumar De and Shib Sankar Sana
- Political stability, corruption and trust in politicians pp. 359-369

- Ingmar Schumacher
- Diffusion and directed technological knowledge, human capital and wages pp. 370-382

- Oscar Afonso
- Modeling the impact of education on the economic growth: Evidence from aggregated and disaggregated time series data of Pakistan pp. 383-388

- Abdul Jalil and Muhammad Idrees
- Forward looking dynamics in spatial CGE modelling pp. 389-400

- Johannes Bröcker and Artem Korzhenevych
- Hopf bifurcation in the Clarida, Gali, and Gertler model pp. 401-404

- William Barnett and Unal Eryilmaz
- The asymmetric impacts of monetary policy on housing prices: A viewpoint of housing price rigidity pp. 405-413

- I-Chun Tsai
- Oil price and exchange rates: A wavelet based analysis for India pp. 414-422

- Aviral Tiwari, Arif Dar and Niyati Bhanja
- Does Bayesian shrinkage help to better reflect what happened during the subprime crisis? pp. 423-432

- Olfa Kaabia, Ilyes Abid and Khaled Guesmi
- Absorptive capacity and R&D strategy in mixed duopoly with labor-managed and profit-maximizing firms pp. 433-439

- Jianli Luo
- Modeling China's inflation dynamics: An MRSTAR approach pp. 440-446

- Lingxiang Zhang
- Real option, human capital investment returns and higher educational policy pp. 447-452

- Wei-Yei Hwang, Shu-Yi Liao and Mao-Lung Huang
- The impact of mean reversion model on portfolio investment strategies: Empirical evidence from emerging markets pp. 453-459

- Yasemin Deniz Akarim and Serafettin Sevim
- Time-spectral density and wavelets approaches. Comparative study. Applications to SP500 returns and US GDP pp. 460-466

- Ibrahim Ahamada and Philippe Jolivaldt
- Do real interest rates converge across East Asian countries based on China? pp. 467-473

- Yan Liu, Hsu-Ling Chang and Chi-Wei Su
- Modeling of the impact of the financial crisis and China's accession to WTO on China's exports to Germany pp. 474-483

- Zhichao Guo and Yuanhua Feng
- Detecting sudden changes in volatility estimated from high, low and closing prices pp. 484-491

- Dilip Kumar and S. Maheswaran
- The impact of the Indonesian income tax reform: A CGE analysis pp. 492-501

- Hidayat Amir, John Asafu-Adjaye and Tien Ducpham
- The dynamic linkages of fiscal and current account deficits: New evidence from five highly indebted European countries accounting for regime shifts and asymmetries pp. 502-510

- Emmanouil Trachanas and Constantinos Katrakilidis
- Between cointegration and multicointegration: Modelling time series dynamics by cumulative error correction models pp. 511-517

- Marcus Scheiblecker
- Is there an environmental Kuznets curve for water use? A panel smooth transition regression approach pp. 518-527

- Rosa Duarte, Vicente Pinilla and Ana Serrano
- How can transportation policies affect growth? A theoretical analysis of the long-term effects of alternative mobility systems pp. 528-540

- Luigi Bonatti and Emanuele Campiglio
- Competitiveness and R&D competition revisited pp. 541-547

- Toshihiro Matsumura, Noriaki Matsushima and Sususmu Cato
- Variable deterioration and demand—An inventory model pp. 548-556

- Biswajit Sarkar and Sumon Sarkar
- Optimal bank interest margins under capital regulation in a call-option utility framework pp. 557-565

- Jeng-Yan Tsai
- Domestic and foreign sources of volatility spillover to South African asset classes pp. 566-573

- Andrew Duncan and Alain Kabundi
- The competition of investments for endogenous transportation costs in a spatial model pp. 574-577

- Haiyang Hou, Xiaobo Wu and Weihua Zhou
- Bank ownership, performance, and the politics: Evidence from Taiwan pp. 578-585

- Pei-Fen Chen and Ping-Chin Liu
- On complex dynamics of monopoly market pp. 586-589

- S.S. Askar
- International outsourcing of skill intensive tasks and wage inequality pp. 590-597

- Sajid Anwar, Sizhong Sun and Abbas Valadkhani
- Variance risk-premia in CO2 markets pp. 598-605

- Julien Chevallier
- The dynamic of bank lending channel: Basel regulatory constraint pp. 606-613

- Fathin Faizah Said
- Interaction of formal and informal financial markets in quasi-emerging market economies pp. 614-624

- Harold Ngalawa and Nicola Viegi
- Some results on absolute ruin in the perturbed insurance risk model with investment and debit interests pp. 625-634

- Wenguang Yu
- The impact of issuing warrant and debt on behavior of the firm's stock pp. 635-641

- Wei-Lin Xiao, Wei-Guo Zhang, Zheng Yao and Xiao-Hui Wang
- Estimating a small open economy DSGE model with indeterminacy: Evidence from China pp. 642-652

- Tingguo Zheng and Huiming Guo
- Globalization, decentralization and income inequality: The case of China pp. 653-658

- Jai S. Mah
- Fixed versus variable rate loans under state-dependent preferences pp. 659-663

- Kit Pong Wong
- Market structure and the cost of capital pp. 664-671

- Mohamed El Hedi Arouri, Christophe Rault, Anamaria Sova, Robert Sova and Frédéric Teulon
- Macroeconomic determinants of the credit risk in the banking system: The case of the GIPSI pp. 672-683

- Vitor Castro
- Are distance effects really a puzzle? pp. 684-689

- Faqin Lin
- Cartels in the unidirectional Hotelling model pp. 690-696

- Stefano Colombo
- The relationship between audit committees, compensation incentives and corporate audit fees in Pakistan pp. 697-716

- Sehrish Rustam, Kashif Rashid and Khalid Zaman
- Integrating bank profit and risk-avoidance decisions for selected European countries: A micro–macro analysis pp. 717-722

- James P. Gander
- Do economic reforms matter for manufacturing productivity? Evidence from the Indian experience pp. 723-733

- Saibal Ghosh
- Competitive investing equilibrium under a procurement mechanism pp. 734-738

- Heng Zhang, Ming Yang, Jiye Bao and Pu Gong
- Factors causing movements of yield curve in India pp. 739-751

- Kakali Kanjilal
- Impact of health aid in developing countries: The public vs. the private channels pp. 759-765

- Muhammad Asim Afridi and Bruno Ventelou
- Oman's trade and opportunities of integration with the Asian economies pp. 766-774

- Azmat Gani and Nasser Rashid Al Mawali
- Impact of fiscal policy in an intertemporal CGE model for South Africa pp. 775-782

- Ramos Mabugu, Veronique Robichaud, Hélène Maisonnave and Margaret Chitiga
- Sales team's initiatives and stock sensitive demand — A production control policy pp. 783-788

- Shib Sankar Sana
- Increasing returns, land use controls and housing prices in China pp. 789-795

- Dingsheng Zhang, Wenli Cheng and Yew-Kwang Ng
- Input–output research in structural equivalence: Extracting paths and similarities pp. 796-803

- Ana Salomé García Muñiz
- Business cycles and economic crisis in Greece (1960–2011): A long run equilibrium analysis in the Eurozone pp. 804-816

- Panayotis Michaelides, Theofanis Papageorgiou and Angelos Vouldis
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