Journal of Macroeconomics
1979 - 2025
Current editor(s): Douglas McMillin and Theodore Palivos
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Volume 41, issue C, 2014
- Disinflation with labor market frictions pp. 1-15

- Jong Kook 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 A. 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 G. 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