The Journal of Economic Asymmetries
2008 - 2025
Current editor(s): A.G. Malliaris From Elsevier Bibliographic data for series maintained by Catherine Liu (). Access Statistics for this journal.
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Volume 26, issue C, 2022
- Asymmetries in the sustainability of public debt in the EU: The use of swaps

- Bianca Giannini and Chiara Oldani
- Impact of diesel price reforms on asymmetricity of oil price pass-through to inflation: Indian perspective

- Siddhartha Pradeep
- Exploring the asymmetric effects of loan portfolio diversification on bank profitability

- Japan Huynh and Van Dan Dang
- Impact of economic policy uncertainty on the stock markets of the G7 Countries:A nonlinear ARDL approach

- Salah Nusair and Jamal Al-Khasawneh
- The Italian fiscal sustainability in a long-run perspective

- Cosimo Magazzino and Mihai Mutascu
- Economic diversification and governance challenges in MENA oil exporters: A comparative analysis

- Siham Matallah
- Modelling the asymmetric effect of COVID-19 on REIT returns: A quantile-on-quantile regression analysis

- Ahmed Bossman, Zaghum Umar and Tamara Teplova
- Price risk connectedness in the principal olive oil markets of the EU

- Panos Fousekis
- The dynamic effects of debt and equity inflows: Evidence from emerging and developing countries

- Behzod Alimov
- The role of trust, investor sentiment, and uncertainty on bank stock return performance: Evidence from the MENA region

- Syed Faisal Shah and Mohamed Albaity
- Private capital formation and government spending interaction in the case of eurozone countries

- Athanasios Argyropoulos, Christos Karpetis, Stephanos Papadamou and Erotokritos Varelas
- Asymmetric influences on Latin American stock markets: A quantile approach

- Maximiliano Kruel and Paulo Sergio Ceretta
- COVID-19 effect on Islamic vs. conventional banks’ stock prices: Case of GCC countries

- Khaoula Aliani, Lama Al-kayed and Rhada Boujlil
- Asymmetric economic effects via the dependence structure of green bonds and financial stress index

- Athanasios Tsagkanos, Despoina Argyropoulou and Georgios Androulakis
- Does the Russia-Ukraine war lead to currency asymmetries? A US dollar tale

- Sana Gaied Chortane and Dharen Pandey
- Examining the asymmetric impact of macroeconomic policy in the UAE: Evidence from quartile impulse responses and machine learning

- Efstathios Polyzos
- Dynamics of total factor productivity growth: An empirical analysis of Indian commercial banks

- Mohammad Shahid Zaman, Vipin Valiyattoor and Anup Kumar Bhandari
- Revisiting spillovers between investor attention and cryptocurrency markets using noisy independent component analysis and transfer entropy

- David Neto
- Extremity in bitcoin market activity

- Arav Ouandlous, John T. Barkoulas and Themis D. Pantos
- Public redistributive policies in general equilibrium: An application to Greece

- Angelos Angelopoulos, George Economides, George Liontos, Apostolis Philippopoulos and Stelios Sakkas
- The asymmetric effects of exchange rate on trade balance and output growth

- Ekundayo Mesagan, Olorunfemi Alimi and Xuan Vinh Vo
- Cash holdings: International evidence

- Duarte Alves, Paulo Alves, Luis Carvalho and Claudio Pais
- Modelling volatility transmission in regional Asian stock markets

- Tarana Azimova
- Gasoline demand in the United States: An asymmetric economic analysis

- Najmeh Kamyabi and Benaissa Chidmi
- Volatility spillovers from the Chinese stock market to the U.S. stock market: The role of the COVID-19 pandemic

- Giang Thi Huong Vuong, Manh Huu Nguyen and Anh Ngoc Quang Huynh
- Financial cycles across G7 economies: A view from wavelet analysis

- Martin Mandler and Michael Scharnagl
Volume 25, issue C, 2022
- Commodity futures prices pass-through and monetary policy in India: Does asymmetry matter?

- Rudra Prosad Roy and Saikat Sinha Roy
- Firm size, corporate debt, R&D activity, and agency costs: Exploring dynamic and non-linear effects

- Giorgio Canarella and Stephen Miller
- Asymmetry in forex market intervention: Does it reflect fear of reserve inadequacy?

- M Ramachandran and Maheswari D
- Asymmetric impact of capital controls on international trade

- Chokri Zehri
- Modeling global real economic activity: Evidence from variable selection across quantiles

- Mikhail Stolbov and Maria Shchepeleva
- Asymmetric risk transfer in global equity markets: An extended sample that includes the COVID pandemic period

- Aktham Maghyereh, Basel Awartani and Hussein Abdoh
- Asymmetric connectedness between cryptocurrency environment attention index and green assets

- Javed Bin Kamal and M. Kabir Hassan
- Asymmetric, time and frequency-based spillover transmission in financial and commodity markets

- Adil Ahmad Shah and Arif Dar
- Empirical analysis of asymmetry phenomenon in the public debt structure of Sub-Saharan Africa's five biggest economies: A Markov-Switching model

- Olumide Olusegun Olaoye and P.A. Olomola
- Can a change in FDI accelerate GDP growth? Time-series and ANNs evidence on Malta

- Cosimo Magazzino and Marco Mele
- Asymmetric and dynamic links in GCC Sukuk-stocks: Implications for portfolio management before and during the COVID-19 pandemic

- Arfaoui Mongi, Walid Chkili and Aymen Ben Rejeb
- Stock market in the age of COVID19: Mere acclimatization or Stockholm syndrome?

- Sarfaraz Ali Shah Syed
- Policy implications and welfare analysis under the possibility of default for the Euro zone area

- Christos Agiakloglou and Michael Gkouvakis
- Convergence in labor productivity across provinces and production sectors in China

- Keshab Bhattarai and Weiguang Qin
Volume 24, issue C, 2021
- Unemployment invariance hypothesis and structural breaks in Poland

- Emilio Congregado, Ewa Gałecka-Burdziak, Antonio Golpe and Robert Pater
- Analyzing the (a)symmetric impacts of oil price, economic policy uncertainty, and global geopolitical risk on exchange rate

- Khalid Kisswani and Mohammad I. Elian
- The predictive content of public debt for real output expansions and contractions over three centuries: A Markov switching analysis for the UK

- Ioannis Karfakis
- Asymmetry, terms of trade and the aggregate supply curve in an open economy model

- Ashima Goyal and Abhishek Kumar
- Transmission of world price shocks - Evidence from GCC countries

- Darshita Fulara Gunwant and Sartaj Rasool Rather
- Financial deepening indicators and income inequality of OECD and ASIAN countries

- Faris ALShubiri
- Liquidity injection, bank lending, and security holdings: The asymmetric effects in Vietnam

- Van Dan Dang and Van Cuong Dang
- The impact of the ECB's asset purchase programme on core and peripheral sovereign yields and its transmission channels

- Jorge Bento Farinha and José Vidrago
- Heterogeneous consumers in the Euro-Area, facing homogeneous monetary policy: Tale of two large economies

- Sarfaraz Ali Shah Syed
- Economic policy uncertainty and stock market returns: Evidence from Canada

- Sourav Batabyal and Robert Killins
- The impact of income inequality on public debt

- Jorge Carrera and Pablo de la Vega
- Long-run stability of money demand and monetary policy: The case of Algeria

- Raouf Boucekkine, M. Laksaci and M. Touati-Tliba
- Banking sector distress and economic growth resilience: Asymmetric effects

- Robert Stewart and Murshed Chowdhury
- Does the twin deficit hypothesis exist in India? Empirical evidence from an asymmetric non-linear cointegration approach

- Lingaraj Mallick, Smruti Ranjan Behera and R.V. Ramana Murthy
- Asymmetric impacts of monetary policy and business cycles on bank risk-taking: Evidence from Emerging Asian markets

- Duy-Tung Bui, Canh Phuc Nguyen and Thanh Su
- On the asymmetric effects of exchange rate changes and Thailand's inpayments from and outpayments to its partners

- Mohsen Bahmani-Oskooee and Tatchawan Kanitpong
- Spatial financial contagion during the COVID-19 outbreak: Local correlation approach

- Imen Zorgati and Riadh Garfatta
- Asymmetries in the Euro area banking profitability

- Pedro Veríssimo, Paulo Viegas de Carvalho and Luís Laureano
- Systematic growth asymmetry in the Eurozone? Evidence from a natural experiment

- Petros E. Ioannatos
- Is there a nonlinear relationship between financial development and income inequality in Africa? Evidence from dynamic panel threshold

- Segun Bolarinwa and Anthony Akinlo
- Dynamics and asymmetries between consumer sentiment and consumption in pre- and during-COVID-19 time: Evidence from the US

- Salah Abosedra, Nikiforos T. Laopodis and Ali Fakih
- Stock market comovements: Evidence from the COVID-19 pandemic

- Chokri Zehri
- ASEAN's trade balance with the whole EU-28 at industry level: The role of vehicle currency

- Ho Hoang Gia Bao and Hoang Phong Le
- The role of exchange rate and relative import price on sawnwood import demand in Africa: Evidence from modified heterogeneous panel data methods

- Adeolu Adewuyi, Joseph O. Ogebe and Sebil Oshota
- Stock market volatility on shipping stock prices: GARCH models approach

- Siti Marsila Mhd Ruslan and Kasypi Mokhtar
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