International Economics
2015 - 2025
Current editor(s): Valerie Mignon and Marcelo Olarreaga
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Volume 156, issue C, 2018
- Sovereign risk and the real exchange rate: A non-linear approach pp. 1-14

- Jair Ojeda-Joya and Gloria Sarmiento
- Asymmetric impacts of public and private investments on the non-oil GDP of Saudi Arabia pp. 15-30

- Walid Mensi, Syed Jawad Hussain Shahzad, Shawkat Hammoudeh and Khamis Hamed Al-Yahyaee
- The causal effect of reducing trade policy uncertainty: A comparative case study of Bangladesh's textile exports to Switzerland pp. 31-44

- Christian Ritzel, Andreas Kohler, Stefan Mann and Silviu Beciu
- Are all cycles alike? An empirical investigation of regional and global factors in developed and emerging economies pp. 45-60

- Zouhair Ait Benhamou
- Who fears or favors globalization? Evidence from individual-level survey data in Japan pp. 61-76

- Koichi Kagitani and Kozo Harimaya
- Re-examination of the convergence hypothesis among OECD countries: Evidence from Fourier quantile unit root test pp. 77-85

- Mohsen Bahmani-Oskooee, Tsangyao Chang, Elmi, Zahra (Mila) and Omid Ranjbar
- Globalization and terror in Africa pp. 86-97

- Simplice Asongu and Nicholas Biekpe
- Reducing model risk in early warning systems for banking crises in the euro area pp. 98-116

- Virginie Coudert and Julien Idier
- Under pressure: Dynamic pass-through of oil prices to the RUB/USD exchange rate pp. 117-126

- Svetlana Fedoseeva
- Do renewable energies improve energy security in the long run? pp. 127-135

- Emmanuel Hache
- Shocks to the international prices of agricultural commodities and the effects on welfare and poverty. A simulation of the ex ante long-run effects for Uruguay pp. 136-155

- Pedro Moncarz, Sergio Barone and Ricardo Descalzi
- Forecasting currency crises with threshold models pp. 156-174

- Terence Tai Leung Chong and Isabel K. Yan
- Estimating value-at-risk using a multivariate copula-based volatility model: Evidence from European banks pp. 175-192

- Marius Galabe Sampid and Haslifah M. Hasim
- Income level and the emissions, energy, and growth nexus: Evidence from Asia and the Pacific pp. 193-205

- Thai-Ha Le and Euston Quah
- EQCHANGE: A world database on actual and equilibrium effective exchange rates pp. 206-230

- Cécile Couharde, Anne-Laure Delatte, Carl Grekou, Valérie Mignon and Florian Morvillier
- Natural resource curse in oil exporting countries: A nonlinear approach pp. 231-246

- Olivier Damette and Majda Seghir
- Impact of macroeconomic news surprises and uncertainty for major economies on returns and volatility of oil futures pp. 247-253

- Walid Bahloul and Rangan Gupta
- Environment-energy-growth nexus in Sub-Saharan Africa: The role of intermediate goods pp. 254-267

- Mohamed Amine Boutabba, Diadié Diaw and Albert Lessoua
- Dynamics of net foreign asset components in the EMU pp. 268-283

- Tatiana Cesaroni and Roberta de Santis
- How do Islamic versus conventional equity markets react to political risk? Dynamic panel evidence pp. 284-304

- Walid Ahmed
- How important are global geopolitical risks to emerging countries? pp. 305-325

- Chak Hung Jack Cheng and Ching-Wai (Jeremy) Chiu
- Governance and economic growth: The role of the exchange rate regime pp. 326-364

- Salma Hadj Fraj, Mekki Hamdaoui and Samir Maktouf
Volume 155, issue C, 2018
- Introduction to the special issue: Social values of carbon and climate policy signals in the post-COP21 context pp. 1-2

- Etienne Espagne and Jean-Charles Hourcade
- Pricing carbon removal pp. 3-7

- Alfredo Sirkis
- Social value of mitigation activities and forms of carbon pricing pp. 8-18

- Jean-Charles Hourcade, Antonin Pottier and Etienne Espagne
- The role of financing cost and de-risking strategies for clean energy investment pp. 19-28

- Jan Steckel and Michael Jakob
- SCCs and the use of IAMs: Let's separate the wheat from the chaff pp. 29-47

- Etienne Espagne, Antonin Pottier, Baptiste Perrissin Fabert, Franck Nadaud and Patrice Dumas
- On the link between oil and agricultural commodity prices: Do biofuels matter? pp. 48-60

- Anthony Paris
- Overcoming the financial barrier to a low emission development strategy in Brazil pp. 61-68

- E.L. La Rovere, C. Grottera and W. Wills
- The Landscape of domestic climate investment and finance flows: Methodological lessons from five years of application in France pp. 69-83

- Hadrien Hainaut and Ian Cochran
- Guaranteeing sustainable infrastructure pp. 84-91

- Rogerio Studart and Kevin Gallagher
- Debt and damages: What are the chances of staying under the 2°C warming threshold? pp. 92-108

- Emmanuel Bovari, Oskar Lecuyer and Florent Mc Isaac
Volume 154, issue C, 2018
- The revealed cost competitiveness of changing trade patterns: A country-sector exercise pp. 3-22

- Massimo Del Gatto
- Relaxing credit constraints in emerging economies: The impact of public loans on the productivity of Brazilian manufacturers pp. 23-47

- Filipe Lage de Sousa and Gianmarco Ottaviano
- Productivity and wage premiums: Evidence from Vietnamese ordinary and processing exporters pp. 48-67

- Mai T.P. Vu, Flora Bellone and Marion Dovis
- The exchange rate, asymmetric shocks and asymmetric distributions pp. 68-85

- Calin-Vlad Demian and Filippo di Mauro
- Governance, value chain positioning and firms' heterogeneous performance: The case of Tuscany pp. 86-107

- Giorgia Giovannetti and Enrico Marvasi
Volume 153, issue C, 2018
- International production networks and the world trade structure pp. 11-33

- Isabella Cingolani, Lelio Iapadre and Lucia Tajoli
- Value chains in Europe and Asia: Which countries participate? pp. 34-41

- Richard Pomfret and Patricia Sourdin
- Global value chains: New evidence for North Africa pp. 42-54

- Davide Del Prete, Giorgia Giovannetti and Enrico Marvasi
- Value chains and the great recession: Evidence from Italian and German firms pp. 55-68

- Antonio Accetturo and Anna Giunta
- The puzzle of measuring global value chains – The business statistics perspective pp. 69-79

- Peter Bøegh Nielsen
Volume 152, issue C, 2017
- Comment: Inferring trade costs from trade booms and trade busts pp. 1-8

- Guillaume Corlay, Stéphane Dupraz, Claire Labonne, Anne Muller, Céline Antonin and Guillaume Daudin
- Offshore renminbi trading: Findings from the 2013 Triennial Central Bank Survey pp. 9-20

- Yin-Wong Cheung and Matthew S. Yiu
- Relationships between international tourism and modes of foreign market access pp. 21-25

- Akinori Tomohara
- Financial liberalization and systemic banking crises: A meta-analysis pp. 26-54

- Mekki Hamdaoui
- An empirical model of diversification cones and wage inequality for the states of Brazil pp. 55-62

- Eleydiane Maria Gomes Vale and João Mário deSantos De Frnança
- On the link between current account and oil price fluctuations in diversified economies: The case of Canada pp. 63-78

- Blaise Gnimassoun, Marc Joëts and Tovonony Razafindrabe
- Internationalization modes and productivity of Italian manufacturing: Some firm-level evidence pp. 79-90

- Rosa Capolupo, Vito Amendolagine and Laura Serlenga
- Understanding the decision-making process of sovereign wealth funds: The case of Temasek pp. 91-106

- J.Y. Gnabo, Malik Kerkour, C. Lecourt and Helene Raymond
- Does the J-curve hypothesis hold for a small open economy? Evidence from time-varying coefficients of a distributed-lag model for Tunisia pp. 107-115

- Mohamed Jelassi, Jamel Trabelsi and Maryem Turki
- Central bank policy rates: Are they cointegrated? pp. 116-123

- Guglielmo Maria Caporale, Hector Carcel and Luis Gil-Alana
- Exchange rate misalignments in energy-exporting countries: Do sovereign wealth funds matter? pp. 124-144

- Helene Raymond, Dramane Coulibaly and Luc Omgba