Journal of Macroeconomics
1979 - 2025
Current editor(s): Douglas McMillin and Theodore Palivos
From Elsevier
Bibliographic data for series maintained by Catherine Liu ().
Access Statistics for this journal.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
Volume 41, issue C, 2014
- Disinflation with labor market frictions pp. 1-15

- Jong Shin and Chetan Subramanian
- Stabilising Taylor rules when the supply shock has a unit root pp. 16-20

- Fang Yao
- Public debt and economic growth: Is there a causal effect? pp. 21-41

- Ugo Panizza and Andrea Presbitero
- In the long run, US unemployment follows inflation like a faithful dog pp. 42-52

- Alfred Haug and Ian King
- Constrained or unconstrained price for debit card payment? pp. 53-65

- Manjong Lee
- Welfare costs of shifting trend inflation pp. 66-78

- Taisuke Nakata
- Involuntary unemployment and sustainability of bond-financed fiscal deficit pp. 79-93

- Akira Yakita
- Methods for assessing the impact of financial effects on business cycles in macroeconometric models pp. 94-106

- Adrian Pagan and Tim Robinson
- Home production and sticky price models: Implications for monetary policy pp. 107-121

- Robert Lester
- Financial regulation policy uncertainty and credit spreads in the US pp. 122-132

- Gabriela Nodari
- Behavioral economics and macroeconomic models pp. 133-147

- John Driscoll and Steinar Holden
- Exchange rates and monetary fundamentals in CEE countries: Evidence from a panel approach pp. 148-159

- Marek Dąbrowski, Monika Papież and Sławomir Śmiech
- Institutional and structural determinants of investment worldwide pp. 160-177

- Jamus Lim
- Optimal capital taxation and consumer uncertainty pp. 178-198

- Ryan Chahrour and Justin Svec
Volume 40, issue C, 2014
- Real exchange rate and productivity in a specific-factor model with skilled and unskilled labour pp. 1-15

- Thi Hong Thinh Doan and Karine Gente
- Tractable graphical device for analyzing stationary stochastic OLG economies pp. 16-26

- Eisei Ohtaki
- Bubbles over the U.S. business cycle: A macroeconometric approach pp. 27-41

- Marc-André Luik and Dennis Wesselbaum
- Growth, unemployment and wage inertia pp. 42-59

- Xavier Raurich and Valeri Sorolla
- Are public preferences reflected in monetary policy reaction functions? pp. 60-68

- Matthias Neuenkirch
- The unbeatable random walk in exchange rate forecasting: Reality or myth? pp. 69-81

- Imad Moosa and Kelly Burns
- Effectiveness of countercyclical fiscal policy: Evidence from developing Asia pp. 82-98

- Shikha Jha, Sushanta Mallick, Donghyun Park and Pilipinas F. Quising
- Unemployment and portfolio choice: Does persistence matter? pp. 99-113

- Franziska Bremus and Vladimir Kuzin
- Signals and learning in a new Keynesian economy pp. 114-131

- Stefano Marzioni
- Portfolio balance effects of the Swiss National Bank’s bond purchase program pp. 132-149

- Andreas Kettemann and Signe Krogstrup
- Discretionary policy exploiting learning in a sticky-information model of the inflation-output trade-off: Bridging the gap to commitment pp. 150-158

- Christian Jensen
- Do intangible assets explain high U.S. foreign direct investment returns? pp. 159-171

- Benjamin Bridgman
- Technology structure and skill structure: Costly investment and complementarity effects quantification pp. 172-189

- Elena Sochirca, Pedro Gil and Oscar Afonso
- Environmental tax reform: Short-term versus long-term macroeconomic effects pp. 190-201

- Walid Oueslati
- Monetary policy: Why money matters (and interest rates don’t) pp. 202-213

- Daniel Thornton
- Evidence on business cycles and CO2 emissions pp. 214-227

- Baran Doda
- Explaining inflation in the aftermath of the Great Recession pp. 228-244

- Robert Murphy
- Embodied learning by investing and speed of convergence pp. 245-269

- Christian Groth and Ron Wendner
- Credit supply shocks and the global financial crisis in three small open economies pp. 270-276

- Richard Finlay and Jarkko P. Jääskelä
- Monetary rules and sectoral unemployment in open economies pp. 277-292

- William Craighead
- A production function examination of the aggregate effects of nutrition pp. 293-307

- Brian Piper
- Finance, growth and quantile parameter heterogeneity pp. 308-322

- Monica Andini and Corrado Andini
- Monetary policy regimes and inflation in the new-Keynesian model pp. 323-337

- Bartholomew Moore
- An estimated New-Keynesian model with unemployment as excess supply of labor pp. 338-359

- Miguel Casares, Antonio Moreno and Jesús Vázquez
- Non-linear adjustments to intranational PPP pp. 360-371

- Kai-Yin Woo, Shu-Kam Lee and Alan Chan
- Inflation targeting and product market deregulation pp. 372-386

- Laura Moretti
- Bankruptcy resolution capacity and economic fluctuations pp. 387-399

- Uluc Aysun
- The sacrifice ratio and core inflation pp. 400-421

- Sandeep Mazumder
Volume 39, issue PB, 2014
- The Crisis in the Euro Area: An Analytic Overview pp. 233-239

- Heather Gibson, Theodore Palivos and George Tavlas
- The Greek Economy and Banking System: Recent Developments and the Way Forward pp. 240-249

- George A. Provopoulos
- The European Crisis and the Role of the Financial System pp. 250-259

- Vítor Constancio
- The Euro Area Crisis: A View from the North pp. 260-271

- Seppo Honkapohja
- The European Crisis in the Context of the History of Previous Financial Crises pp. 275-284

- Michael Bordo and Harold James
- The Eurozone Crisis: Phoenix Miracle or Lost Decade? pp. 288-308

- Barry Eichengreen, Naeun Jung, Stephen Moch and Ashoka Mody
- Leverage, Default, and Forgiveness: Lessons from the American and European Crises pp. 313-333

- John Geanakoplos
- Credit Policy in times of Financial Distress pp. 337-345

- Costas Azariadis
- How much Fiscal Discipline in a Monetary Union? pp. 348-360

- Paul De Grauwe and Yuemei Ji
- How the Euro Crisis Evolved and how to Avoid Another: EMU, Fiscal Policy and Credit Ratings pp. 364-374

- Vito Polito and Michael Wickens
- Lessons for Monetary Policy from the Euro-Area Crisis pp. 378-382

- C.A.E. Goodhart
- Monetary Policy and Banks in the Euro Area: The Tale of Two Crises pp. 387-400

- Lucrezia Reichlin
- Fundamentally Wrong: Market Pricing of Sovereigns and the Greek Financial Crisis pp. 405-419

- Heather Gibson, Stephen Hall and George Tavlas
- Ireland’s Economic Crisis: The Good, the Bad and the Ugly pp. 424-440

- Karl Whelan
- Catastrophic job Destruction during the Portuguese Economic Crisis pp. 444-457

- Anabela Carneiro, Pedro Portugal and Jose Varejao
Volume 39, issue PA, 2014
- To starve or not to starve the beast? pp. 1-23

- Michael Kumhof, Douglas Laxton and Daniel Leigh
- Asymmetric monetary policy towards the stock market: A DSGE approach pp. 24-41

- Søren Hove Ravn
- Economic policy uncertainty and firm-level investment pp. 42-53

- Wensheng Kang, Kiseok Lee and Ronald Ratti
- Life expectancy and economic growth pp. 54-65

- Lars Kunze
- Towards an explanation of cross-country asymmetries in monetary transmission pp. 66-84

- Georgios Georgiadis
- Spurious regressions and near-multicollinearity, with an application to aid, policies and growth pp. 85-96

- Jean-Bernard Chatelain and Kirsten Ralf
- Interactions between private and public sector wages pp. 97-112

- Antonio Afonso and Pedro Gomes
- Institutional quality, the cyclicality of monetary policy and macroeconomic volatility pp. 113-155

- Roberto Duncan
- Evaluating labor market reforms: A normative analysis pp. 156-170

- Céline Poilly and Dennis Wesselbaum
- Conflict inflation and delayed stabilization pp. 171-184

- Elena Seghezza and Pierluigi Morelli
- The interaction between money and asset markets: A spillover index approach pp. 185-202

- David Cronin
- Time-varying equilibrium rates in small open economies: Evidence for Canada pp. 203-214

- Tino Berger and Bernd Kempa
- What determines external debt tipping points? pp. 215-225

- Alice Ouyang and Ramkishen Rajan
- The effect of enterprise and household credit on economic growth: New evidence from European union countries pp. 226-231

- Seifallah Sassi and Amira Gasmi