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 39, issue 4, 2015
- Systemic event prediction by an aggregate early warning system: An application to the Czech Republic pp. 553-576

- Diana Zigraiova and Petr Jakubík
- Assessing optimal credit growth for an emerging banking system pp. 577-591

- Petr Jakubík and Bogdan-Gabriel Moinescu
- The dynamic relationship between stock, bond and foreign exchange markets pp. 592-607

- Suleyman Kal, Ferhat Arslaner and Nuran Arslaner
- Knowledge externalities and demand pull: The European evidence pp. 608-631

- Cristiano Antonelli and Agnieszka Gehringer
- The transmission of foreign shocks to South Eastern European economies: A Bayesian VAR approach pp. 632-643

- Goran Petrevski, Peter Exterkate, Dragan Tevdovski and Jane Bogoev
- News on inflation and the epidemiology of inflation expectations in China pp. 644-653

- Chengyao Lei, Zhe Lu and Chengsi Zhang
- Sources of asymmetric shocks: The exchange rate or other culprits? pp. 654-674

- Michal Skořepa and Lubos Komarek
- Macroeconomic shocks and fluctuations in African economies pp. 675-696

- Mutiu Gbade Rasaki and Christopher Malikane
Volume 39, issue 3, 2015
- Position limit for the CSI 300 stock index futures market pp. 369-389

- Lijian Wei, Wei Zhang, Xiong Xiong and Lei Shi
- Misvaluation comovement, market efficiency and the cross-section of stock returns: Evidence from China pp. 390-412

- Yan Luo, Jinjuan Ren and Yizhi Wang
- Optimal rebalance rules for the constant proportion portfolio insurance strategy – Evidence from China pp. 413-422

- Tao Zhang, Hongfeng Zhou, Larry Li and Feng Gu
- Stock holdings over the life cycle: Who hesitates to join the market? pp. 423-438

- Linwan Zhang, Weixing Wu, Ying Wei and Rulu Pan
- Economic policy uncertainty and capital structure choice: Evidence from China pp. 439-457

- Guangli Zhang, Jianlei Han, Zheyao Pan and Haozhi Huang
- Investor heterogeneity and commonality in stock return and liquidity pp. 458-473

- Deng Pan, Jing Shi, Fei Wu and Bohui Zhang
- An analysis of dependence between Central and Eastern European stock markets pp. 474-490

- Juan Reboredo, Aviral Tiwari and Claudiu Albulescu
- Nonprofit organizations, institutional economics, and systems thinking pp. 491-501

- Vladislav Valentinov, Stefan Hielscher and Ingo Pies
- Bank competition, concentration and financial stability in the Turkish banking industry pp. 502-517

- Saadet Kasman and Adnan Kasman
- Consumer credit on American Indian reservations pp. 518-540

- Valentina Dimitrova-Grajzl, Peter Grajzl, A. Joseph Guse and Richard M. Todd
- Cost efficiency of the banking industry and unilateral euroisation: A stochastic frontier approach in Serbia and Montenegro pp. 541-551

- Alexandre Sokic
Volume 39, issue 2, 2015
- The drivers of income mobility in Europe pp. 197-224

- David Aristei and Cristiano Perugini
- Empirical evidence of conditional asset pricing in the Indian stock market pp. 225-239

- Sudipta Das
- Credit default swaps and sovereign debt markets pp. 240-252

- M. Kabir Hassan, Geoffrey M. Ngene and Jung-Suk Yu
- Similarity of emerging market returns under changing market conditions: Markets in the ASEAN-4, Latin America, Middle East, and BRICs pp. 253-268

- Štefan Lyócsa and Eduard Baumohl
- How useful is an Asian Currency Unit (ACU) index for surveillance in East Asia? pp. 269-287

- Victor Pontines
- Are stock prices related to the political uncertainty index in OECD countries? Evidence from the bootstrap panel causality test pp. 288-300

- Tsangyao Chang, Wen-Yi Chen, Rangan Gupta and Duc Khuong Nguyen
- The impact of fiscal positions on government bond yields in CEE countries pp. 301-316

- Lena Malesevic Perovic
- Taxation of natural resources and economic growth in Russia's regions pp. 317-338

- Michael Alexeev and Andrey Chernyavskiy
- Does revamping Japan's dual labor market matter? pp. 339-357

- Chie Aoyagi and Giovanni Ganelli
- PPP may hold better than you think: Smooth breaks and non-linear mean reversion in real effective exchange rates pp. 358-366

- Ali Kutan and Su Zhou
Volume 39, issue 1, 2015
- Symposium: Youth labour market and the “Great Recession” pp. 1-2

- Marcello Signorelli and Misbah Tanveer Choudhry
- The joint impact of labour policies and the “Great Recession” on unemployment in Europe pp. 3-26

- Silvia Dal Bianco, Randolph Bruno and Marcello Signorelli
- Young people living as couples: How women's labour supply is adapting to the crisis. Spain as a case study pp. 27-42

- Tindara Addabbo, Paula Rodríguez-Modroño and Lina Gálvez-Muñoz
- Youth labour market performances in the Russian and Italian regions pp. 43-58

- Olga Demidova, Enrico Marelli and Marcello Signorelli
- Impact of the Great Recession on unemployed and NEET individuals’ labour market transitions in Ireland pp. 59-71

- Elish Kelly and Seamus McGuinness
- The effect of judicial independence on entrepreneurship in the US states pp. 72-96

- John Dove
- Tax enforcement, technology, and the informal sector pp. 97-120

- Ceyhun Elgin and Mario Solis-Garcia
- Macroeconomic scenarios for the south Mediterranean countries: Evidence from general equilibrium model simulation results pp. 121-142

- Leonidas Paroussos, Kostas Fragkiadakis, Ioannis Charalampidis, Stella Tsani and Pantelis Capros
- From equilibrium to autopoiesis: A Luhmannian reading of Veblenian evolutionary economics pp. 143-155

- Vladislav Valentinov
- Contagion risk in the Czech financial system: A network analysis and simulation approach pp. 156-180

- Václav Hausenblas, Ivana Kubicová and Jitka Lešanovská
- A nonlinear investigation of the twin deficits hypothesis over the business cycle: Evidence from Turkey pp. 181-196

- Nazif Catik, Barış Gök and Utku Akseki
Volume 38, issue 4, 2014
- EuroConference 2013 Symposium: International Conference on Business, Economics and Finance pp. 469-469

- Mehmet Balcilar and Ali Kutan
- Influence of institutional investors' participation on flipping activity of Malaysian IPOs pp. 470-486

- Norliza Che-Yahya, Ruzita Abdul-Rahim and Othman Yong
- The influence of lock-up provisions on IPO initial returns: Evidence from an emerging market pp. 487-501

- Rasidah Mohd Rashid, Ruzita Abdul-Rahim and Othman Yong
- Financial constraints and corporate investments during the current financial and economic crisis: The credit crunch and investment decisions of Slovenian firms pp. 502-517

- Matjaž Črnigoj and Miroslav Verbič
- Factors of trade in Europe pp. 518-535

- Jan Hanousek and Evžen Kočenda
- Explaining the Czech interbank market risk premium pp. 536-551

- Adam Gersl and Jitka Lešanovská
- Stock market co-movements: Islamic versus conventional equity indices with multi-timescales analysis pp. 553-571

- Ginanjar Dewandaru, Syed Aun R. Rizvi, Rumi Masih, Mansur Masih and Syed Othman Alhabshi
- Determinants of credit to households: An approach using the life-cycle model pp. 572-587

- Michał Rubaszek and Dobromił Serwa
- Taxation and income shifting: Empirical evidence from a quasi-experiment in China pp. 588-596

- Zhiyong An and Congyan Tan
- Balance sheet effects and original sinners’ risk premiums pp. 597-613

- Marina Tkalec, Maruška Vizek and Miroslav Verbič
Volume 38, issue 3, 2014
- How to foresee banking crises? A survey of the empirical literature pp. 289-308

- Karlo Kauko
- Monetary policy, exchange rates and labor unions in SEE and the CIS during the financial crisis pp. 309-332

- Branimir Jovanovic and Marjan Petreski
- Pollution and informal economy pp. 333-349

- Ceyhun Elgin and Oguz Oztunali
- Military versus non-military government spending and the shadow economy pp. 350-359

- Rajeev Goel and James Saunoris
- Ceremonial science: The state of Russian economics seen through the lens of the work of ‘Doctor of Science’ candidates pp. 360-378

- Alexander Libman and Joachim Zweynert
- Economic and spatial determinants of interregional migration in Kazakhstan pp. 379-396

- Alisher Aldashev and Barbara Dietz
- The micro evolution of trade and turnover in Turkey under the global crisis pp. 397-414

- Alessia Lo Turco and Daniela Maggioni
- Inflation aversion in transition countries: Empirical evidence from the Baltic States pp. 415-432

- Michael Berlemann
- The effect of housing and stock market wealth on consumption in emerging and developed countries pp. 433-450

- Amina Ahec Šonje, Anita Čeh Časni and Maruška Vizek
- Direct and indirect oil shocks and their impacts upon energy related stocks pp. 451-467

- David Broadstock, Rui Wang and Dayong Zhang
Volume 38, issue 2, 2014
- Intra-market sovereign linkages of key Latin American markets pp. 140-160

- Kannan Thuraisamy
- Equity market contagion during the global financial crisis: Evidence from the world's eight largest economies pp. 161-177

- Mardi Dungey and Dinesh Gajurel
- Sectoral and industrial performance during a stock market crisis pp. 178-193

- Kumari Ranjeeni
- Least squares learning and the US Treasury bill rate pp. 194-204

- Sagarika Mishra and Sandip Dhole
- An analysis of firm and market volatility pp. 205-220

- Susan Sharma, Paresh Narayan and Xinwei Zheng
- Different institutional behavior in different economic systems: Theory and evidence on diverging systems worldwide pp. 221-242

- Solomon I. Cohen
- Exchange rate volatility and Spanish-American commodity trade flows pp. 243-260

- Mohsen Bahmani-Oskooee, Hanafiah Harvey and Scott Hegerty
- Non-parametric and semi-parametric asset pricing: An application to the Colombian stock exchange pp. 261-268

- Jose Gomez-Gonzalez and Elioth Mirsha Sanabria-Buenaventura
- The relationship between trade, FDI and economic growth in Tunisia: An application of the autoregressive distributed lag model pp. 269-287

- Mounir Belloumi
Volume 38, issue 1, 2014
- Measures to tame credit growth: Are they effective? pp. 7-25

- Adam Gersl and Martina Jasova
- Demand and supply drivers of foreign currency loans in CEECs: A meta-analysis pp. 26-42

- Jesus Crespo Cuaresma, Jarko Fidrmuc and Mariya Hake
- The interest rate spreads in the Czech Republic: Different loans, different determinants? pp. 43-54

- Christa Hainz, Roman Horvath and Michal Hlaváček
- Bank valuation in new EU member countries pp. 55-72

- Yiwei Fang, Iftekhar Hasan, Katherin Marton and Maya Waisman
- The impact of macro news and central bank communication on emerging European forex markets pp. 73-88

- Balázs Égert and Evžen Kočenda
- Look before you leap: Why politicians may have a point to be hesitant about the gains from trade pp. 89-99

- Erich Gundlach and Albert de Vaal
- Long-run and short-run determinants of sovereign bond yields in advanced economies pp. 100-114

- Tigran Poghosyan
- Determinants of total factor productivity in former Soviet Union economies: A stochastic frontier approach pp. 115-135

- Annageldy Arazmuradov, Gianmaria Martini and Davide Scotti
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