International Economics
2015 - 2025
Current editor(s): Valerie Mignon and Marcelo Olarreaga From Elsevier Bibliographic data for series maintained by Catherine Liu (). Access Statistics for this journal.
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Volume 172, issue C, 2022
- Varieties as a Source of Law of One Price Deviations pp. 1-14

- Fernando Borraz and Leandro Zipitria
- Financial market economy vs self-financing economy and the role of risk aversion pp. 15-28

- Laurent Augier and Chao Yin
- Bunker fuel, commodity prices and shipping market indices following the COVID-19 pandemic. A time-frequency analysis pp. 29-39

- Manuel Monge
- The relationship between shipping freight rates and inflation in the Euro Area pp. 40-49

- Nektarios Michail, Konstantinos D. Melas and Lena Cleanthous
- A non-parametric assessment of the effects of the Euro on GVC trade pp. 56-76

- Pierluigi Montalbano, Silvia Nenci and Laura Dell'Agostino
- The COVID-19 pandemic, policy responses and stock markets in the G20 pp. 77-90

- Guglielmo Maria Caporale, Woo-Young Kang, Fabio Spagnolo and Nicola Spagnolo
- Bayesian model averaging approach of the determinants of foreign direct investment in Africa pp. 91-105

- Kazeem Bello Ajide and Ridwan Lanre Ibrahim
- To consolidate or not to consolidate? A multi-step analysis to assess needed fiscal sustainability pp. 106-123

- Antonio Afonso, José Alves and Joao Jalles
- Inflation and unemployment, new insights during the EMU accession pp. 124-142

- Jean-Louis Combes and Pierre Lesuisse
- On the political economy of trade agreements: A de jure and de facto analysis of institutions pp. 143-156

- Asmaa Ezzat and Chahir Zaki
- Improved output gap estimates and forecasts using a local linear regression pp. 157-167

- Marlon Fritz
- MaGE 3.1: Long-term macroeconomic projections of the World economy pp. 168-189

- Lionel Fontagné, Erica Perego and Gianluca Santoni
- Making the EU cohesion policy work to support exports at time of Covid-19: Evidence on the Italian regions pp. 190-202

- R. Boffardi, P. Di Caro and R. Arbolino
- European investment bank loan appraisal, the EU climate bank? pp. 203-216

- Antoine Ebeling
- This time is different: Fiscal response to the COVID-19 pandemic among EU countries pp. 217-226

- Bettina Bökemeier and Marcin Wolski
- Does FDI have differential impacts on exports? Evidence from developing countries pp. 227-237

- Pravakar Sahoo and Ranjan Kumar Dash
- Green bonds and oil price shocks and uncertainty: A safe haven analysis pp. 238-254

- Khaled Mokni, Walid Mensi, Shawkat Hammoudeh and Ahdi Noomen Ajmi
- Reshoring and plant closures in Covid-19 times: Evidence from Italian MNEs pp. 255-277

- Enrica Di Stefano, Giorgia Giovannetti, Michele Mancini, Enrico Marvasi and Giulio Vannelli
- Aid allocation: The role of external discipline pp. 278-296

- François Bourguignon and Jean-Philippe Platteau
- Delays in public investment projects pp. 297-310

- Raphael Espinoza and Andrea Presbitero
- Moral hazard index for credit risk to SMEs pp. 311-323

- José A. Castillo, Andrés Mora-Valencia and Javier Perote
- A time to build: Does technical assistance matter for revenue mobilization? pp. 324-330

- Ralph Chami, Elorm Darkey and Oral Williams
- Abnormal pricing in international commodity trading: Evidence from Ghana pp. 331-348

- Ama A. Ahene-Codjoe, Angela A. Alu and Rahul Mehrotra
- When do we repair the roof? Insights from responses to fiscal crisis early warning signals pp. 349-367

- Jiro Honda, René Tapsoba and Ismael Issifou
- Eurobonds, debt sustainability and macroeconomic performance in Africa: Synthetic control experiments pp. 368-388

- Chuku Chuku and Mustafa Yasin Yenice
- Capital ratios and banking crises in the European Union pp. 389-402

- Raphaël Cardot-Martin, Fabien Labondance and Catherine Refait-Alexandre
- Better safe than sorry: Macroprudential policy, Covid 19 and climate change pp. 403-413

- Gaëtan Le Quang and Laurence Scialom
- Prudential policy spillovers: How do international bank flows react to French policies? pp. 414-430

- Stephane Dees and Julio Ramos-Tallada
- Does pandemic risk affect yield spreads in the EMU? pp. 431-450

- Iuliana Matei
- A theoretical foundation for prudential authorities decision making pp. 451-462

- Cristina Badarau and Corentin Roussel
Volume 171, issue C, 2022
- “There is No vaccine for climate change” - How well Governments’COVID-19 green stimulus announcements contribute to business sustainability? pp. 1-17

- Refk Selmi, Farid Makhlouf, Kamal Kasmaoui, Youssef Errami and Oussama Ben Atta
- Does foreign investment crowd in domestic investment? Evidence from Vietnam pp. 18-29

- Van Ha, Mark Holmes and Tuyen Tran
- Firm-level policy support during the crisis: So far, so good? pp. 30-48

- Péter Harasztosi, Laurent Maurin, Rozália Pál, Debora Revoltella and Wouter van der Wielen
- The economic and welfare state determinants of well-being in Europe pp. 49-57

- Mariangela Bonasia, Oreste Napolitano, Fabio Spagnolo and Nicola Spagnolo
- Trade and structural change: An empirical investigation pp. 58-79

- Mariarosaria Comunale and Giulia Felice
- Green energy indices & financial markets: An in-depth look pp. 80-109

- Capucine Nobletz
- Trade credit and global value chain: Evidence from cross-country firm-level data pp. 110-129

- Thang Doan and Le Thanh Ha
- Consistency of micro- and macro-level data on global value chains: Evidence from selected European countries pp. 130-142

- A. Giunta, Pierluigi Montalbano and S. Nenci
- Are there any robust determinants of growth in Europe? A Bayesian Model Averaging approach pp. 143-173

- Sara D'Andrea
- Common and idiosyncratic movements in Latin-American exchange rates pp. 174-190

- Fredy Gamboa-Estrada and José Romero
- Can taxes help ensure a fair globalization? pp. 191-213

- Francois Langot, Rossana Merola and Samil Oh
Volume 170, issue C, 2022
- Searching the nature of uncertainty: Macroeconomic and financial risks VS geopolitical and pandemic risks pp. 1-31

- Nicolas Himounet
- Wealth, price levels, and product quality pp. 32-48

- Clemens C. Struck
- Do globalization and resource rents matter for human well-being? Evidence from African countries pp. 49-65

- Issidor Noumba, Armand Gilbert Noula and Stéphane Mbiankeu Nguea
- Spillovers between exchange rate pressure and CDS bid-ask spreads, reserve assets and oil prices using the quantile ARDL model pp. 66-78

- Shawkat Hammoudeh, Walid Mensi and Jin Seo Cho
- Access to water and sanitation in Africa: Does globalization matter? pp. 79-91

- Hervé Kaffo Fotio and Stéphane Mbiankeu Nguea
- Effects of the business cycle on real exchange rate misalignments with respect to exchange rate regimes pp. 92-102

- Jihene Jebeniani and Jamel Trabelsi
- Understanding the transmission of COVID-19 news to French financial markets in early 2020 pp. 103-114

- Willem Thorbecke
- Bank credit and economic growth: A dynamic threshold panel model for ASEAN countries pp. 115-128

- Sy-Hoa Ho and Jamel Saadaoui
- Revealed Comparative Advantage and Contribution-to-the-Trade-Balance indexes pp. 129-155

- Rémi Stellian and Jenny P. Danna-Buitrago
- The impact of de facto globalization on carbon emissions: Evidence from Ghana pp. 156-173

- Alex Acheampong
- Outward FDI and exports relation: A heterogeneous panel approach dealing with cross-sectional dependence pp. 174-189

- Adolfo Maza and Paula Gutiérrez-Portilla
- Trade and business cycle synchronization: The role of common trade partners pp. 190-201

- Nestor Azcona
- Measuring exchange rate risks during periods of uncertainty pp. 202-212

- Laurent Ferrara and Joseph Yapi
- Non-fundamental home bias in international equity markets pp. 213-234

- Gyu Hyun Kim and Hoffmann Kim
- A consolidated-by-nationality approach to Irish foreign exposure pp. 235-247

- Andre Sanchez Pacheco
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