Economic Systems
2001 - 2025
Current editor(s): R. Frensch From Elsevier Contact information at EDIRC. Bibliographic data for series maintained by Catherine Liu (). Access Statistics for this journal.
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Volume 46, issue 4, 2022
- Business cycles and redistribution: The role of government quality

- Leonel Muinelo-Gallo
- Foreign direct investment and economic growth in Sub-Saharan Africa: A nonlinear analysis

- George Asafo-Agyei and Odongo Kodongo
- Socio-political instability and growth dynamics

- Manoel Bittencourt, Rangan Gupta, Philton Makena and Lardo Stander
- Gender diversity, gender norms and firm performance: Evidence from India

- Ritika Jain
- Regional innovation disparities in Italy: The role of governance

- Jesús Peiró-Palomino and Francesco Perugini
- The role of the separation of democratic powers on structural transformation in Sub-Saharan Africa

- Saturnin Bertrand Nguenda Anya and Fabrice Nzepang
- Bank competition, financial development and macroeconomic stability: Empirical evidence from emerging economies

- Habib Hussain Khan
- How do trade openness, public expenditure and institutional performance affect unemployment in OIC countries? Evidence from the DCCE approach

- Zhen Liu, Thanh Ngo, Hayot Berk Saydaliev, Huiyuan He and Sajid Ali
- Do tax reductions stimulate firm productivity? A quasi-natural experiment from China

- Xiaohan Liu, Jianmin Liu, Haitao Wu and Yu Hao
- Trust or bust: Growth effects of knowledge, human and social capital revisited

- Paula Puskarova
- A Dutch disease approach into the premature deindustrialization

- Muhammet Sait Çakır and Resul Aydemir
- Oil structural shocks, bank-level characteristics, and systemic risk: Evidence from dual banking systems

- Aktham Maghyereh, Hussein Abdoh and Mohammad Al-Shboul
- Political connections and the super-rich in Poland

- Katarzyna Sałach-Dróżdż and Michał Brzeziński
- Branch network structure, authority and lending behaviour

- Tho Pham, Oleksandr Talavera and Andriy Tsapin
- Institutional perspective of financial sector development: A multidimensional assessment

- Muhammad Atif Khan, Lulu Gu, Muhammad Asif Khan and Muhammad Bhatti
- Bank herding and systemic risk

- Jin Cai
- Divisia monetary aggregates for Russia: Money demand, GDP nowcasting and the price puzzle

- Makram El-Shagi and Kiril Tochkov
Volume 46, issue 3, 2022
- Can inflation targeting reduce price information asymmetry and alleviate corruptive behavior? Evidence from developing countries

- Martin Stojanovikj
- The effects of an environmental accountability system on local environmental governance and firms’ emissions

- Hongwei Yu, Jiahui Xu, Fang Shen, Debin Fang and Daqian Shi
- Macroeconomic responses of emerging market economies to oil price shocks: An analysis by region and resource profile

- Sophio Togonidze and Evžen Kočenda
- Credit bureaus, corruption and banking stability

- Mohamed Sami Ben Ali
- The relationship between R&D, innovation and productivity in emerging economies: CDM model and alternatives

- Anna Fedyunina and Slavo Radosevic
- Growth and welfare effects of corruption penalties

- Oscar Afonso, Ana Maria Bandeira and Pedro Lima
- FDI forward spillover effects in emerging markets: A comparative meta-analysis of China and Eastern Europe

- Hongzhong Fan, Shi He and Yum K. Kwan
- Does colonisation explain the low level of growth in African financial markets?

- Thierry Mamadou Asngar, Bruno Emmanuel Ongo Nkoa and Charles Christian Atangana Zambo
- Servitization across countries and sectors: Evidence from world input-output data

- Klaus Friesenbichler and Agnes Kügler
- Bank efficiency and access to credit: International evidence

- Francis Osei-Tutu and Laurent Weill
- Exploring the linkage between human capital and economic growth: A look at 141 developing and developed countries

- Tanzila Sultana, Sima Rani Dey and Mohammad Tareque
- Foreign capital inflows and poverty linkages in South Asia: Do the forms of capital inflows matter?

- Shruti Shastri, Arun Giri and Geetilaxmi Mohapatra
- Children and female employment in Mongolia

- Elena Nikolova and Jakub Polansky
Volume 46, issue 2, 2022
- Democratic transition and fiscal policy in the Arab world

- Nouha Bougharriou, Walid Benayed and Foued Badr Gabsi
- Ownership structure and firm performance in emerging markets: A comparative meta-analysis of East European EU member states, Russia and China

- Ichiro Iwasaki, Xinxin Ma and Satoshi Mizobata
- A re-examination of housing bubbles: Evidence from European countries

- I-Chun Tsai and Che-Chun Lin
- The impact of national culture on systemic risk

- Alin Marius Andries and Daniela Balutel
- Do independent fiscal institutions cause better fiscal outcomes in the European Union?

- Bogdan Capraru, George Georgescu and Nicu Sprincean
- The impact of policy, political and economic uncertainty on corporate capital investment in the emerging markets of Eastern Europe and Turkey

- Asil Azimli
- The impact of political risk on FDI exit decisions

- Ksenia Gonchar and Maria Greve
- On the role of institutional factors in shaping working capital management policies: Empirical evidence from European listed firms

- Sorin Gabriel Anton and Anca Elena Afloarei Nucu
- The saving, human wealth and asset pricing nexus: Evidence from around the world

- Rahul Roy and Santhakumar Shijin
- R&D subsidies and productivity in eastern European countries

- James Foreman-Peck and Peng Zhou
- Multinomial modeling methods: Predicting four decades of international banking crises

- Emile du Plessis
- The (non-)Keynesian effects of fiscal austerity: New evidence from a large sample

- Antonio Afonso, José Alves and Joao Jalles
- What has caused China’s economic growth?

- Jiahong Guo, Xiaoying Lai, Chenxi Lu and Shixiong Cao
- The role of fiscal policies for external imbalances: Evidence from the European Union

- Antonio Afonso and José Coelho
Volume 46, issue 1, 2022
- Are exchange rates less important for trade in a more globalized world? Evidence for the new EU members

- Boris Fisera and Roman Horvath
- The Fama-French model for estimating the cost of equity capital: The impact of real options of investment projects

- Stanisław Urbański and Dariusz Zarzecki
- The effect of exchange rate volatility on U.S. bilateral trade with Africa: A symmetric and asymmetric analysis

- Mohsen Bahmani-Oskooee and Augustine C. Arize
- Cyclicality of bank credit growth: Conventional vs Islamic banks in the GCC

- Mohamed Albaity, Abu Hanifa Md. Noman, Ray Saadaoui Mallek and Mohammad Al-Shboul
- Trade openness, financial openness, and macroeconomic volatility

- Yong Ma, Yiqing Jiang and Chi Yao
- An empirical analysis of the impact of banking regulations on sustainable financial inclusion in the CEMAC region

- Susan Enyang Besong, Tellma Longy Okanda and Simon Arrey Ndip
- Tax morale: Framing and fairness

- Phyllis Alexander and Merima Balavac-Orlic
- Institutional quality and human capital development in Africa

- Idrissa Ouedraogo, Henri Ngoa Tabi, Henri Atangana Ondoa and Alex Jiya
- Public banking and economic growth: The experiences of 10 countries since the 1950s until 2017

- Reynaldo Senra Hodelin
- The effect of economic growth on banking system performance: An interregional and comparative study of Sub-Saharan Africa and developed economies

- Sandra Chukwudumebi Obiora, Yong Zeng, Qiang Li, Hao Liu, Peter Darko Adjei and Tamas Csordas
- Modeling conflict impact and postconflict reconstruction: The case of Yemen

- Askar Mukashov, Clemens Breisinger, Wilfried Engelke and Manfred Wiebelt
- The impact of intellectual property rights protection on trade: The role of a “third country” in market power and market expansion effects

- Nguyen Khanh Doanh, Nguyen Thi Gam and Yoon Heo
- Elections and provisioning behavior: Assessing the Indian evidence

- Saibal Ghosh
- Latent social distancing: Identification, causes and consequences

- M. Aykut Attar and Ayça Tekin-Koru
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