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 44, issue 4, 2020
- Ageing of routine jobs in Europe

- Piotr Lewandowski, Roma Keister, Wojciech Hardy and Szymon Górka
- Financial conditions and monetary policy in the US

- Selahattin Dibooglu, Seyfettin Erdogan, Durmus Cagri Yildirim and Emrah Çevik
- Does having a semimandatory dividend policy enhance investor confidence? Research on dividend-financing behavior

- Wenyun Yao, Lei Zhang and Jianxiong Hu
- Systemic risk in European financial and energy sectors: Dynamic factor copula approach

- Matěj Nevrla
- Can innovation improve income inequality? Evidence from panel data

- Siong Hook Law, N.A.M. Naseem, Wei Theng Lau and Irwan Trinugroho
- Does more finance mean more inequality in times of crisis?

- Clément Mathonnat and Benjamin Williams
- Bank lending: The bank ownership focus in the pre- and post-global financial crisis periods

- Apriani Dorkas Rambu Atahau and Tom Cronje
- Foreign direct investment and industrial agglomeration: Evidence from India

- Renjith Ramachandran, Subash Sasidharan and Nadia Doytch
- Public spending, public governance and economic growth at the Vietnamese provincial level: A disaggregate analysis

- Thanh Su, Neil Hart and Canh Nguyen
- The importance of being networked: The costs of informal networking in the Western Balkans region

- Adnan Efendic and Alena Ledeneva
- The impact of oil price changes on selected macroeconomic indicators in Azerbaijan

- Farid Zulfigarov and Matthias Neuenkirch
- Economic policy uncertainty and enterprise value: Evidence from Chinese listed enterprises

- Yanli Zhu, Yingnan Sun and Xinyu Xiang
- Openness, rural-urban inequality, and happiness in China

- Yong Ma and Diandian Chen
- Finance, institutions, and innovation activities in China

- Go Yano and Maho Shiraishi
- Does institutional quality affect financial inclusion in Africa? A panel data analysis

- Bruno Emmanuel Ongo Nkoa and Jacques Simon Song
Volume 44, issue 3, 2020
- The effect of minimum wage hikes on employment: Evidence from regional panel data from Romania

- Smaranda Pantea
- Social expenditure cyclicality: New time-varying evidence in developing economies

- Joao Jalles
- Foreign bank lending during a crisis: The impact of financial regulations

- Meng-Fen Hsieh and Chien-Chiang Lee
- Environmental taxes, reforms and economic growth: an empirical analysis of panel data

- Mahmoud Hassan, Walid Oueslati and Damien Rousselière
- Do credit squeezes influence firm survival? An empirical investigation of China

- Dongyang Zhang
- Market liberalization and tax avoidance: Evidence from the Shanghai-Hong Kong Stock Connect Program in China

- Dequan Jiang, Weiping Li, Yongjian Shen and Zhenye Yao
- Nonlinear relationship between economic growth and nuances of globalisation with income stratification: Roles of financial development and governance

- Shawkat Hammudeh, Kazi Sohag, Shaiara Husain, Humaira Husain and Jamaliah Said
- Collective memories, propaganda and authoritarian political support

- Alessandro Belmonte and Michael Rochlitz
- The effects of free trade agreements on regional wages in China

- Tao Song and Andrzej Cieślik
- Dynamic interactions between Central European currencies and the euro

- Michael Gorman, Lucjan Orlowski and Matthew H. Roessler
- House price convergence in the euro zone: A pairwise approach

- William Miles
- The dimension, nature and distribution of economic insecurity in European countries: A multidimensional approach

- Olga Cantó, Carmelo García-Pérez and Marina Romaguera-de-la-Cruz
- Off the radar: Factors behind the growth of shadow banking in Europe

- Martin Hodula, Ales Melecky and Martin Machacek
- A hump-shaped transitional growth path as a general pattern in long-run development

- Erich Gundlach and Martin Paldam
Volume 44, issue 2, 2020
- Common shocks, common transmission mechanisms and time-varying connectedness among Dow Jones Islamic stock market indices and global risk factors

- Hedi Ben Haddad, Imed Mezghani and Mohammed Al Dohaiman
- Cultural distance and international trade in services: A disaggregate view

- Philipp Harms and Daria Shuvalova
- Female participation in parliament. Are we ever going to converge to Scandinavia?

- Claudio Bravo-Ortega, Nicolas Eterovic and Valentina Paredes
- Private and public investment in sub-Saharan Africa: The role of instability risks

- Rasmane Ouedraogo, Relwendé Sawadogo and Hamidou Sawadogo
- Deposit structure, market discipline, and ownership type: Evidence from Indonesia

- Irwan Trinugroho, Putra Pamungkas, Mochammad Doddy Ariefianto and Amine Tarazi
- Financial sector strategies and financial sector outcomes: Do the strategies perform?

- Martin Melecký and Anca Maria Podpiera
- Economic indicators and stock market volatility in an emerging economy

- Dohyun Chun, Hoon Cho and Doojin Ryu
- Credit constraints and R&D over the boom and bust: Firm-level evidence from Central and Eastern Europe

- Kadri Männasoo and Jaanika Meriküll
- Does GINI respond to income volatility in an asymmetric manner? Evidence from 41 countries

- Mohsen Bahmani-Oskooee and Amid Ardakani
- Effects of subject pool culture and institutional environment on corruption: Experimental evidence from Albania

- Ardian Harri, Edvin Zhllima, Drini Imami and Kalyn T. Coatney
- Political regimes and bank interest margins

- Sebastián Lavezzolo
Volume 44, issue 1, 2020
- A financial accelerator in the business sector of a macroeconometric model of a small open economy

- Andreas Benedictow and Roger Hammersland
- Firm survival in new EU member states

- Eduard Baumohl, Ichiro Iwasaki and Evžen Kočenda
- Impact of Islamic banking development and major macroeconomic variables on economic growth for Islamic countries: Evidence from panel smooth transition models

- Walid Mensi, Shawkat Hammoudeh, Aviral Tiwari and Khamis Hamed Al-Yahyaee
- Waste of money or growth opportunity: The causal effect of EU subsidies on Hungarian SMEs

- Ádám Banai, Péter Lang, Gábor Nagy and Martin Stancsics
- Growth and real business cycles in Vietnam and the Asean-5. Does the trend shock matter?

- Binh Thai Pham, Hector Sala and José Silva
- State history and the finance-growth nexus: Evidence from transition economies

- Ákos Dombi and Theocharis Grigoriadis
- Financing constraints and ODI margins: Evidence from China

- Fang Zhang and Lianxing Yang
- Conflict and well-being of civilians: The case of the Russian-Ukrainian hybrid war

- Maryna Osiichuk and Oleksandr Shepotylo
- The going-public decision and rent-seeking activities: Evidence from Chinese private companies

- Chien-Chiang Lee, Shaolin Ning, Meng-Fen Hsieh and Chi-Chuan Lee
- Anti-corruption, government intervention, and corporate cash holdings: Evidence from China

- Jun Xie and Yifan Zhang
- Convergence of public and private enterprise wages in a transition economy: Evidence from a distributional decomposition in Vietnam, 2002–2014

- Tien Vu and Hiroyuki Yamada
- Credit risk pricing and the rationality of lending decision-making within dual banking systems: A parametric approach

- Awatef Louhichi and Younes Boujelbene
- The non-observed economy and economic growth: A meta-analysis

- Oscar Afonso, Pedro Cunha Neves and Tiago Pinto
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