The Journal of Economic Asymmetries
2008 - 2024
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 19, issue C, 2019
- Is the investment-cash flow sensitivity divergent when information is asymmetrically distributed? pp. -

- Walid Mansour
- Aggregate production and macroeconomic dynamics: Evidence from European economies pp. -

- Nikiforos Laopodis and Andreas Papastamou
- Price returns and trading volume changes in agricultural futures markets: An empirical analysis with quantile regressions pp. -

- Panos Fousekis and Dimitra Tzaferi
- Asymmetries in the persistence and pricing of cash flows: Evidence from the United Kingdom pp. -

- Panagiotis Artikis and Georgios A. Papanastasopoulos
- The dynamics of institutional trading: Evidence from transaction data pp. -

- Mahmoud Aymo
- Business cycles and hydrocarbon gas liquids prices pp. -

- Sayeeda Jahan and Apostolos Serletis
- Asymmetric effects of financial dollarization on nominal exchange rate volatility in Nigeria pp. -

- Elijah Udoh and Elias A. Udeaja
- Spillover of mortgage default risks in the United States: Evidence from metropolitan statistical areas and states pp. -

- Qiang Ji, Rangan Gupta, Festus Bekun and Mehmet Balcilar
Volume 18, issue C, 2018
- Is the financial cycle a leading indicator of real output during expansions and contractions? A quantile analysis for Greece pp. -

- Costas Karfakis and Eftychia Karfaki
- Asymmetric responses in the tourism demand function pp. -

- George Agiomirgianakis, Georgios Bertsatos and Nicholas Tsounis
- Asymmetric causality between the U.S. housing market and its stock market: Evidence from state level data pp. -

- Mohsen Bahmani-Oskooee and Seyed Hesam Ghodsi
- Free-on-board and uniform delivered pricing strategies in pure and mixed spatial duopolies: The strategic role of cooperatives pp. -

- Dimitrios Panagiotou and Athanassios Stavrakoudis
- Money and business cycle: Evidence from India pp. -

- Ashima Goyal and Abhishek Kumar
- Government debt in EMU countries pp. -

- Gordon L. Brady and Cosimo Magazzino
- Firm-level political risk and asymmetric volatility pp. -

- Goodness C. Aye, Mehmet Balcilar, Riza Demirer and Rangan Gupta
- Monetary policy with asymmetries in the asset markets participation, counter-cyclical fiscal policy and «non-atomistic» wage setters pp. -

- Xakousti Chrysanthopoulou and Moïse Sidiropoulos
- Asymmetric effects of monetary policy in the U.S and Brazil pp. -

- Periklis Gogas, Ioannis Pragidis and Benjamin Tabak
- The nexus between natural gas spot and futures prices at NYMEX: Do weather shocks and non-linear causality in low frequencies matter? pp. -

- Theologos Dergiades, Reinhard Madlener and Georgia Christofidou
- Growth, resource allocation and welfare in an asymmetric general equilibrium model of trade pp. -

- Dilip K. Ghosh and Augustine C. Arize
- Asymmetries in labor demand: Do loss aversion and endowment effects affect labor demand elasticities on the establishment level? pp. -

- Arnd Kölling
- The eurozone financial crisis and bank efficiency asymmetries: Peripheral versus core economies pp. -

- Grigorios Asimakopoulos, Georgios Chortareas and Michail Xanthopoulos
- An investigation of nonlinear effects of debt on growth pp. -

- Duygu Yolcu Karadam
- Management accounting innovations in a time of economic crisis pp. -

- Odysseas Pavlatos and Hara Kostakis
- A Taylor Rule for EU members. Does one rule fit to all EU member needs? pp. -

- Stephanos Papadamou, Moise Sidiropoulos and Aristea Vidra
Volume 17, issue C, 2018
- The effects of the U.S. business cycle on the Canadian economy: A regime-switching VAR approach pp. 1-12

- Ronald Henry Lange
- Trade asymmetries in the Mediterranean basin pp. 13-20

- Konstantinos Konstantaras, Dionisis Philippas and Costas Siriopoulos
- Active monetary policy and the slowdown: Evidence from DSGE based Indian aggregate demand and supply pp. 21-40

- Ashima Goyal and Abhishek Kumar
- Regional heterogeneity in the relationship between inequality and growth: Evidence from panel vector autoregressions pp. 41-47

- Bebonchu Atems
- Interest rate pass through in a Markov-switching Vector Autoregression model: Evidence from Greek retail bank interest rates pp. 48-60

- Stephanos Papadamou and Thomas Markopoulos
Volume 16, issue C, 2017
- Bank defaults and spillover effects in US local banking markets pp. 1-11

- Chris Tsoumas
- Asymmetry and break effects of oil price -macroeconomic fundamentals dynamics: The trade effect channel pp. 12-25

- Ibrahim Raheem
- Asymmetric tail dependence between oil price shocks and sectors of Saudi Arabia System pp. 26-41

- Nader Trabelsi
- Causality analysis of the Canadian city house price indices: A cross-sample validation approach pp. 42-52

- Eleni Kyriazakou and Theodore Panagiotidis
- Vertical price relationships between different cuts and quality grades in the U.S. beef marketing channel: A wholesale-retail analysis pp. 53-63

- Dimitrios Panagiotou and Athanassios Stavrakoudis
- On the value of the dollar and income inequality: Asymmetric evidence from state level data in the U.S pp. 64-78

- Mohsen Bahmani-Oskooee and Amid Motavallizadeh-Ardakani
- Is the relationship between inflation and its volatility asymmetric? US evidence, 1800–2016 pp. 79-86

- Georgios Karras
- Asymmetric model of neoclassical trade and optimum tax-subsidy-tariff policy pp. 87-100

- Dilip K. Ghosh, Augustine C. Arize and Angie Zaher
Volume 15, issue C, 2017
- Analyzing local incomes in Greece by fitting space with an econometrics driven method pp. 1-16

- Prodromos Prodromidis
- Asymmetric paths of public debts and of general government deficits across countries within and outside the European monetary unification and economic policy of debt dissolution pp. 17-31

- Mario Coccia
- The impact of temporary tax changes on consumption: 2000–2015 pp. 32-38

- Marc D. Hayford
- Learning-by-doing, organizational capital and optimal markup variations pp. 39-47

- Bidyut Talukdar
- International patenting: An application of network analysis pp. 48-55

- Bachar Moussa and Nikos Varsakelis
- The Japanese trade balance and asymmetric effects of yen fluctuations: Evidence using nonlinear methods pp. 56-63

- Mohsen Bahmani-Oskooee, Hanafiah Harvey and Scott Hegerty
- Asymmetric exchange rate and oil price pass-through in motor fuel market: A microeconometric approach pp. 64-75

- Utku Ozmen and Fatih Akcelik
- The equivalence of export subsidies and import tariff reductions in a macroeconomic model pp. 76-80

- Bala Batavia and Parameswar Nandakumar
Volume 14, issue PB, 2016
- Using nonlinear testing procedures to specify the right hand side of an aggregate production function containing financial variables in the period 1967–2011 pp. 147-156

- Houston Stokes
- Country differences in the ECB monetary reaction function pp. 157-167

- Jens Klose
- The relation between price setting in markets and asymmetries of systems of measurement of goods pp. 168-178

- Mario Coccia
- Volatility and growth in developing countries: An asymmetric effect pp. 179-188

- Nabil Alimi
- Asymmetric nonlinear mean reversion in real effective exchange rates: A Fisher-type panel unit root test applied to Sub-Saharan Africa pp. 189-198

- Olivier Habimana
- Asymmetric information and employment: evidence from the U.S. banking sector pp. 199-210

- Nicholas Apergis, Irene Fafaliou and Marinos Stefanitsis
- Asymmetry cointegration and the J-curve: New evidence from Malaysia-Singapore commodity trade pp. 211-226

- Mohsen Bahmani-Oskooee, Muhammad Aftab and Hanafiah Harvey
Volume 14, issue PA, 2016
- (When) should a non-euro country join the banking union? pp. 4-19

- Ansgar Belke, Anna Dobrzańska, Daniel Gros and Paweł Smaga
- Can Phillips curve explain the recent behavior of inflation? Further evidence from USA and Canada pp. 20-28

- Michael Chletsos, Vasiliki Drosou and Stelios Roupakias
- An economic model for the interpretation of business cycles and the efficiency of monetary policy pp. 29-38

- Eleni Dalla and Erotokritos Varelas
- Treasury yields and credit spread dynamics: A regime-switching approach pp. 39-51

- Dimitris Georgoutsos and Thomas Kounitis
- Fiscal policy in an emerging market business cycle model pp. 52-77

- Chetan Ghate, Pawan Gopalakrishnan and Suchismita Tarafdar
- Intra-national and international spillovers between the real economy and the stock market: The case of China pp. 78-92

- Nikolaos Giannellis and Athanasios Papadopoulos
- Nowcasting GDP in Greece: The impact of data revisions and forecast origin on model selection and performance pp. 93-102

- Dimitra Lamprou
- Government expenditure multiplier under the zero lower bound: The role of public investment pp. 103-111

- Mariam Mamedli
- Does the size and market structure of the banking sector have an effect on the financial stability of the European Union? pp. 112-127

- Małgorzata Pawłowska
- What to do when stagflation returns? Monetary and fiscal policy strategies for a monetary union pp. 128-146

- Reinhard Neck and Dmitri Blueschke
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