Journal of Economic Studies
1974 - 2024
Current editor(s): Prof Mohsen Bahmani-Oskooee From Emerald Group Publishing Limited Bibliographic data for series maintained by Emerald Support (). 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 49, issue 8, 2021
- Rent index forecasting through neural networks pp. 1321-1339

- Xiaojie Xu and Yun Zhang
- The effects of COVID-19 on trade, production, environmental quality and its implications for green economy pp. 1340-1359

- Dinkneh Gebre Borojo, Jiang Yushi and Miao Miao
- Does the short squeeze lead to market abnormality and antileverage effect? Evidence from the Gamestop case pp. 1360-1373

- Evangelos Vasileiou
- Do consumer survey data help improve US vehicle sales forecasts? pp. 1374-1386

- Hamid Baghestani
- Does intellectual property rights protection affect UK and US outward FDI and earnings from FDI? A sectoral analysis pp. 1387-1421

- Glauco De Vita, Constantinos Alexiou, Emmanouil Trachanas and Yun Luo
- Does the low-risk anomaly exist in the Indian equity market? A test using alternative risk measures pp. 1422-1452

- Asgar Ali, K.N. Badhani and Ashish Kumar
- Non-linear pricing in E-commerce: an exploration pp. 1453-1475

- Dipankar Das and Vivek Sharadadevi Jadhav
- Impact of COVID-19 on listed European electricity companies: a comparative analysis of investment in renewable and traditional electricity pp. 1476-1490

- José Antonio Clemente-Almendros, Florin Teodor Boldeanu and Luis Alberto Seguí-Amórtegui
- How human capital affects labor income share at the sectoral level?: Evidence from the EU-13 countries and the UK pp. 1491-1501

- Orkun Çelik
- Price extremes and asymmetric dependence structures in stock returns: the emerging market evidence pp. 1502-1523

- Saji Thazhungal Govindan Nair
- Which professional skills value more under digital transformation? pp. 1524-1547

- Sofiia Paklina and Elena Shakina
- Market overreaction, firm-specific information and macroeconomic variables in US and Chinese markets during COVID-19 pp. 1548-1565

- Ooi Kok Loang and Zamri Ahmad
- Macroeconomic fundamentals, institutional quality and shadow economy in OIC and non-OIC countries pp. 1566-1584

- Shabeer Khan and Mohd Ziaur Rehman
- A broad analysis of short-term overreactions in the market for cryptocurrencies pp. 1585-1608

- Tobias Kellner and Dominik Maltritz
Volume 49, issue 7, 2021
- Social welfare and bank performance: evidence from a stochastic neural hybrid MCDM approach pp. 1137-1158

- Andrew Maredza, Peter Wanke, Jorge Antunes, Roberto Pimenta and Yong Tan
- A non-parametric framework for evaluating governance–efficiency–productivity associations in commercial banking pp. 1159-1180

- Navendu Prakash, Shveta Singh and Seema Sharma
- Governance thresholds and the human capital–growth nexus pp. 1181-1196

- Nicholas Apergis, Ghulam Mustafa and Muhammad Khan
- A cross-country analysis of the relationship between human capital and foreign direct investment pp. 1197-1211

- Madhvi Sethi, Saina Baby and Aarti Mehta Sharma
- Real exchange rate synchronization in the NAFTA region pp. 1212-1224

- Hamid Baghestani
- Labor supply responses to income tax free and bracket expansions pp. 1225-1239

- Panayiota Lyssiotou and Elena Savva
- The mechanisms linking the finance-growth relationship in view of the financial crisis: an empirical investigation of the EU countries pp. 1240-1268

- Dimitrios Asteriou and Konstantinos Spanos
- An empirical analysis of human trafficking in an era of globalization pp. 1269-1283

- Yselle Flora Kuete Malah and Simplice Asongu
- Corn trade simulations of China: reduction in tariffs versus expansion in tariff-rate quotas pp. 1284-1303

- Kai Liu, Masato Yamazaki, Atsushi Koike and Yueying Mu
- Tornadoes, poverty and race in the USA: A five-decade analysis pp. 1304-1319

- Russ D. Kashian, Tracy Buchman and Robert Drago
Volume 49, issue 6, 2021
- Nonlinearities and asymmetric adjustment to PPP in an exchange rate model with inflation expectations pp. 937-959

- Christina Anderl and Guglielmo Maria Caporale
- Monetary and macroprudential policies in the presence of external shocks: evidence from an emerging economy pp. 960-977

- Alexander Lubis, Constantinos Alexiou and Joseph G. Nellis
- Share price informativeness and dividend smoothing behavior in GCC markets pp. 978-1001

- Razaz Felimban, Sina Badreddine and Christos Floros
- Testing the convergence and the divergence in five Asian countries: from a GMM model to a new Machine Learning algorithm pp. 1002-1016

- Cosimo Magazzino, Marco Mele and Nicolas Schneider
- Nexus between oil price uncertainty and corporate social responsibility: evidence from US firms pp. 1017-1032

- Guenichi Hassen and Khalfaoui Hamdi
- Natural resources, institutions and the quality-adjusted human capital pp. 1033-1054

- Soran Mohtadi
- Model selection in time series analysis: using information criteria as an alternative to hypothesis testing pp. 1055-1075

- R. Scott Hacker and Abdulnasser Hatemi-J
- Banking market structure and efficiency: an assessment of the USA and Canada pp. 1076-1091

- Salah U-Din and David Tripe
- Public debt management and the interaction between fiscal and monetary policies pp. 1092-1116

- Wellington Charles Lacerda Nobrega, Cássio da Nóbrega Besarria and Edilean da Silva Bejarano Aragón
- Effect of multilateral trade liberalization on services export diversification pp. 1117-1136

- Sena Kimm Gnangnon
Volume 49, issue 5, 2021
- Exploring the motivations of using companies registered in tax havens to invest in UK housing market pp. 773-792

- Cornelia Agyenim-Boateng
- Fiscal adjustments, income inequality and economic growth: an empirical analysis of Japanese prefectures pp. 793-808

- Patricia Kako Ouraga
- Income and healthcare financing system in the United States: an asymmetric analysis pp. 809-820

- Mehdi Barati and Hadiseh Fariditavana
- Assessing the impact of Covid-19 pandemic in Turkey with a novel economic uncertainty index pp. 821-832

- Erhan Mugaloglu, Ali Yavuz Polat, Hasan Tekin and Edanur Kılıç
- Are firms' expectations on the availability of external finance rational, adaptive or regressive? pp. 833-849

- Dimitris Anastasiou and Stelios Giannoulakis
- Liquidity management and monetary transmission: empirical analysis for India pp. 850-875

- Vikas Charmal and Ashima Goyal
- Government failures and non-performing loans in European countries: a spatial approach pp. 876-887

- Ferdinando Ofria and Massimo Mucciardi
- The excessive gaming and gambling during COVID-19 pp. 888-901

- Theodoros Daglis
- Economic policy uncertainty and company's human capital pp. 902-919

- Iuliia Naidenova
- Interest rate forecasts in Latin America pp. 920-936

- Ibrahim Filiz, Jan René Judek, Marco Lorenz and Markus Spiwoks
Volume 49, issue 4, 2021
- Effects of economic policy uncertainty and political uncertainty on business confidence and investment pp. 577-602

- Gabriel Montes and Fabiana da Silva Leite Nogueira
- Demographic changes and savings behavior: the experience of a developing country pp. 603-622

- Ebrahim Rezaei
- Uncertainty and nonlinear macroeconomic effects of fiscal policy in the US: a SEIVAR-based analysis pp. 623-646

- Ansgar Belke and Pascal Goemans
- Does disease outbreak news impact equity, commodity and foreign exchange market? Investors' fear of the pandemic COVID-19 pp. 647-664

- Imlak Shaikh and Toan Luu Duc Huynh
- Political machines and the curse of public resources in subnational democracies pp. 665-682

- Andrés Cendales, Nestor Garza and Andrés Arcila Vasquez
- The impact of long-term riskless asset on ensuring liquidity and preventing banking fragility pp. 683-698

- Mahmoud Shahin
- Remittances and food security pp. 699-715

- Yogeeswari Subramaniam, Tajul Ariffin Masron and Nik Hadiyan Nik Azman
- Education in the times of a pandemic: parental socioeconomic characteristics and time spent educating children pp. 716-734

- Stefani Milovanska-Farrington
- Evaluating the wage differential between the formal and informal economy: a gender perspective pp. 735-750

- Colin Williams and Ardiana Gashi
- Liquidity and asset pricing: evidence from a new free-float-adjusted price impact ratio pp. 751-771

- Huong Le and Andros Gregoriou
Volume 49, issue 3, 2021
- Income and factor substitution: an investigation on the Solow growth model under the constant elasticity of substitution pp. 397-421

- Sedat Alatas
- An examination of calendar anomalies: evidence from the Thai stock market pp. 422-434

- Rattaphon Wuthisatian
- How successful countries are in promoting digital transactions during COVID-19 pp. 435-452

- Hoda Mansour
- Impact of general trust on bank risk-taking: the moderating effect of confidence in banks pp. 453-471

- Heba Masoud and Mohamed Albaity
- Attitudes and responses to corruption in tax systems: peer effects and social influences in transition countries pp. 472-488

- John Anderson
- The gender wage gap and the presence of foreign firms in Vietnam: evidence from unconditional quantile regression decomposition pp. 489-505

- Dao Dinh Nguyen, Xinran Zhang and Trang Huyen Nguyen
- Determinants of working capital: empirical evidence on manufacturing SMEs pp. 506-521

- Filipe Sardo and Zélia Serrasqueiro
- The impact of monetary policy on income inequality: evidence from Eurozone markets pp. 522-540

- Konstantina Liosi and Spyros Spyrou
- Bayesian monthly index for building activity based on mixed frequencies: the case of Chile pp. 541-557

- Byron Idrovo and Javier E. Contreras-Reyes
- Remittances, electricity consumption and electric power losses in Jamaica pp. 558-575

- Anupam Das and Adian McFarlane
Volume 49, issue 2, 2021
- Culture and income across countries: evidence from family ties pp. 213-226

- Sokchea Lim, Simran K. Kahai and Channary Khun
- Measuring contagion during COVID-19 through volatility spillovers of BRIC countries using diagonal BEKK approach pp. 227-242

- Kunjana Malik, Sakshi Sharma and Manmeet Kaur
- A new method to solve fuzzy stochastic finance problem pp. 243-258

- Jayanta Kumar Dash, Sumitra Panda and Golak Bihari Panda
- Stock market implications of Fed's balance sheet size pp. 259-273

- Asif M. Ruman
- Stock markets' reaction to COVID-19: evidence from the six WHO regions pp. 274-289

- Anas Ali Al-Qudah and Asma Houcine
- The wage premium and market structure: theory and empirical evidence from Chilean manufacturers pp. 290-302

- Ruohan Wu, Mario Javier Miranda and Meng-Fen Yen
- Does financial inclusion induce poverty, income inequality, and financial stability: empirical evidence from the 54 African countries? pp. 303-314

- Iftikhar Khan, Ismail Khan, Aziz Ullah Sayal and Muhammad Zubair Khan
- Self-employment and economic growth in developing countries: is more self-employment better? pp. 315-329

- Sridevi Yerrabati
- Terrorism, innovation and venture capital pp. 330-345

- Moshfique Uddin, Ashraful Alam, Hassan Yazdifar and Moade Shubita
- The effects of corruption on growth, human development and natural resources sector: empirical evidence from a Bayesian panel VAR for Latin American and Nordic countries pp. 346-363

- Dante A. Urbina and Gabriel Rodríguez
- Impact of foreign direct investment and international tourism on long-run economic growth of Estonia pp. 364-378

- Amin Sokhanvar and Glenn Jenkins
- GDP and population growth: Evidence of fractional cointegration with historical data from 1820 onwards pp. 379-393

- Luis Gil-Alana, Cecilia Font and Águeda Gil-López
Volume 49, issue 1, 2020
- International capital flows with safe assets accumulation pp. 1-22

- Ly Hung
- Assessing the 2010–2018 financial crisis in Greece, Portugal, Ireland, Spain, and Cyprus pp. 23-43

- Kjell Hausken and Jonathan W. Welburn
- Determinants of bank profitability: evidence from 47 Asian countries pp. 44-60

- Abdulazeez Y.H. Saif-Alyousfi
- The impact of economic freedom on the gender pay gap: evidence from a survey of UK households pp. 61-76

- Nicholas Apergis and Nicola Lynch
- Impact of institutional and cultural distances on ASEAN's trade efficiency pp. 77-94

- Nguyen Khanh Doanh, Linh Tuan Truong and Yoon Heo
- Income inequality and financialization: a not so straightforward relationship pp. 95-111

- Constantinos Alexiou, Emmanouil Trachanas and Sofoklis Vogiazas
- Was trade openness with China an initial driver of cross-country human coronavirus infections? pp. 112-125

- Gregory Price and Doreen P. Adu
- The link between financial stress index and economic activity: prominent Granger causalities across frequencies in Luxembourg pp. 126-139

- Pejman Bahramian, Andisheh Saliminezhad and Şule Aker
- Evaluating survey-based forecasts of interest rates and macroeconomic variables pp. 140-158

- Athanasios Fassas, Stephanos Papadamou and Dimitrios Kenourgios
- The complex relationship between inflation and equity returns pp. 159-184

- Jinan Liu and Apostolos Serletis
- Output hysteresis in the US: new evidence from a time-varying Verdoorn's law pp. 185-197

- Pedro Clavijo
- Inefficiency patterns in family-owned banks in Bangladesh pp. 198-212

- Mette Asmild, Dorte Kronborg, Tasmina Mahbub and Kent Matthews
| |