Economic Change and Restructuring
1969 - 2025
Current editor(s): George Hondroyiannis From Springer Bibliographic data for series maintained by Sonal Shukla () and Springer Nature Abstracting and Indexing (). Access Statistics for this journal.
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Volume 54, issue 4, 2021
- Trade and growth in developing countries: the role of export composition, import composition and export diversification pp. 919-941

- Carlos Carrasco and Edgar Demetrio Tovar-García
- The Turkey-US commodity trade and the asymmetric J-curve pp. 943-973

- Mohsen Bahmani-Oskooee and Huseyin Karamelikli
- The role of crude oil prices in the movement of the Indonesian rupiah: a quantile ARDL approach pp. 975-994

- Jungho Baek
- Impact of infrastructure investment on developed and developing economies pp. 995-1024

- Xuehui Han, Jiaqi Su and Jang Ping Thia
- High-technology employment growth in China: geographic disparities in economic structure and sectoral performance pp. 1025-1064

- Qiang Li, Jason F. Kovacs and Geun Hee Choi
- The dynamic relationship between greenfield investments, cross-border M&As, domestic investment and economic growth in Vietnam pp. 1065-1089

- Hieu Thanh Nguyen, Hiep Ngoc Luu and Ngoc Ha Do
- Trade liberalization and R&D activity: examining long-run and short-run linkages for individual and panel of leading countries and groups pp. 1091-1118

- Ramesh Chandra Das and Tonmoy Chatterjee
- Freight transport and energy consumption: What impact on carbon dioxide emissions and environmental quality in MENA countries? pp. 1119-1145

- Samir Saidi
- The impacts of oil price shocks in Turkey: sectoral evidence from the FAVAR approach pp. 1147-1171

- Uğur Akkoç, Anıl Akçağlayan and Gamze Kargın Akkoç
- Exchange rate pressure, fiscal redistribution and poverty in developing countries pp. 1173-1203

- Sèna Kimm Gnangnon
- The role of institutions in environment–health outcomes Nexus: empirical evidence from sub-Saharan Africa pp. 1205-1252

- Olorunfemi Alimi and Kazeem Ajide
- Nexus of governance, macroprudential policy and financial risk: cross-country evidence pp. 1253-1298

- Kumar Debasis Dutta and Mallika Saha
Volume 54, issue 3, 2021
- Price and income convergence and the dynamic Penn effect in Central and Eastern Europe pp. 621-635

- Moritz Degler and Karsten Staehr
- Does foreign investment enhance domestic manufacturing firms’ labour productivity? Evidence from a quantile regression approach pp. 637-654

- Ha Van Thi Cam, Mark Holmes, Tinh Doan and Gazi Hassan
- Tracing the impact of peers on households’ economic behavior pp. 655-681

- Nikolaos Mylonidis and Lefkothea-Georgia Oikonomou
- Analysing the determinants of financial performance for UK insurance companies using financial strength ratings information pp. 683-697

- Abhijit Sharma, Diara Md. Jadi and Damian Ward
- A macroeconomic simulation for Greece in the wake of its government debt crisis pp. 699-716

- Thomas Alexopoulos and Henry Thompson
- Optimal taxation: full-commitment versus time-consistent equilibrium pp. 717-753

- George Economides and Anastasios Rizos
- Green bonds as an instrument to finance low carbon transition pp. 755-779

- Eftichios Sartzetakis
- Military spending and economic growth: a panel data investigation pp. 781-806

- Evangelia Desli and Alexandra Gkoulgkoutsika
- Investment and labor income shares pp. 807-820

- Georgios Chortareas and Emmanouil Noikokyris
- On the drivers of the fertility rebound pp. 821-845

- Georgios Mavropoulos and Theodore Panagiotidis
- Dynamics of consumption distribution and economic fluctuations pp. 847-876

- Reza Najarzadeh, Alireza Keikha and Hassan Heydari
- Post-colonial trade between Russia and former Soviet republics: back to big brother? pp. 877-918

- Arman Mazhikeyev and T. Huw Edwards
Volume 54, issue 2, 2021
- On the linkage between government expenditure and output: empirics of the Keynesian view versus Wagner’s law pp. 265-303

- Philip Arestis, Hüseyin Şen and Ayşe Kaya
- The relationship between tax revenue, government expenditure, and economic growth in G7 countries: new evidence from time and frequency domain approaches pp. 305-337

- Temel Gurdal, Mücahit Aydın and Veysel Inal
- A DEA model for measuring financial intermediation pp. 339-370

- Martin Boďa and Emília Zimková
- Do governance quality and ICT infrastructure influence the tax revenue mobilisation? An empirical analysis for India pp. 371-415

- Hrushikesh Mallick
- Financial development and real sector in sub-Saharan Africa pp. 417-455

- Taiwo Akinlo, Olalekan Yinusa and Akintoye Victor Adejumo
- Technology, energy use, and agricultural value addition nexus: an exploratory analysis from SSA countries pp. 457-490

- Mutiu Oyinlola, Abdulfatai Adedeji and Nafisat Olabisi
- The asymmetric effect of trade openness on economic growth in South Africa: a nonlinear ARDL approach pp. 491-540

- Maxwell Chukwudi Udeagha and Nicholas Ngepah
- Economic policy uncertainty in G7 countries: evidence of long-range dependence and cointegration pp. 541-556

- Olaoluwa Yaya, Nurudeen Abu and Tayo P. Ogundunmade
- Vertical structure, capital misallocation and capital allocation efficiency of the real economy pp. 557-584

- Qingjun Zhang, Lan Yang and Chuan Liu
- Wealth distribution and accounting for changes in wealth inequality: empirical evidence from India, 1991–2012 pp. 585-620

- Aswini Mishra and Vedant Bhardwaj
Volume 54, issue 1, 2021
- Do banking system transparency and market structure affect financial stability of Chinese banks? pp. 1-41

- Usman Bashir, Shoaib Khan, Abdulhafiz Jones and Muntazir Hussain
- Moderating the effect of institutional quality on the finance–growth nexus: insights from West African countries pp. 43-74

- Clement Olaniyi and Sunday Idowu Oladeji
- Using VEA to assess effectiveness in the development of human capabilities pp. 75-99

- Panagiotis Ravanos and Giannis Karagiannis
- The relationship between insurance and banking sectors in Sub-Saharan African: Does globalization matter? pp. 101-119

- Relwendé Sawadogo
- Role of energy consumption preferences on human development: a study of SAARC region pp. 121-144

- Tehmina Zahid, Noman Arshed, Mubbasher Munir and Kamran Hameed
- The impact of renewable energy consumption on inclusive growth: panel data analysis in 44 African countries pp. 145-170

- Jeffrey Kouton
- The impact of management systems on technical change: the adoption of pollution prevention techniques pp. 171-198

- George Deltas, Donna Ramirez Harrington and Madhu Khanna
- Exploring the nexus between oil price shocks and sectoral stock returns: a new evidence from stock exchange in Malaysia pp. 199-217

- Ekhlas Al-hajj, Usama Al-mulali and Sakiru Solarin
- Economic development and business creation pp. 219-239

- Mihai Nica
- Sustainability of current account balances in MENA countries: threshold cointegration approach pp. 241-264

- Rihab Bousnina, Srdjan Redzepagic and Foued Badr Gabsi
Volume 53, issue 4, 2020
- Financial integration, competition and bank efficiency: evidence from Africa’s sub-regional markets pp. 495-518

- Kannyiri Banyen and Nicholas Biekpe
- Examining the relationship between finance, institutions and economic growth: evidence from the ASEAN economies pp. 519-542

- Hazwan Haini
- The real Oaxaca decomposition: convergence within Mexico’s Oaxaca region in the twenty-first century—Do types of crime and religious belief matter? pp. 543-569

- Gregory Brock
- Explaining regional inflation programmes in Indonesia: Does inflation rate converge? pp. 571-590

- Rudi Purwono, Mohammad Zeqi Yasin and M. Khoerul Mubin
- Is India experiencing health convergence? An empirical analysis pp. 591-618

- Sulekha Hembram and Sushil Haldar
- Exchange rate changes and money demand in Albania: a nonlinear ARDL analysis pp. 619-633

- Mohsen Bahmani-Oskooee, Ilir Miteza and Altin Tanku
Volume 53, issue 3, 2020
- On the impact of exchange rate volatility on Tunisia’s trade with 16 partners: an asymmetry analysis pp. 357-378

- Mohsen Bahmani-Oskooee and Ridha Nouira
- Fragmentation and financial development in Sub-Saharan Africa Countries: the case of diversity debit versus diversity dividend theses pp. 379-428

- Kazeem Ajide
- Demographic change and economic growth: empirical evidence from the Middle East pp. 429-450

- Abdullah Abdulaziz A. Bawazir, Mohamed Aslam and Ahmad Farid Bin Osman
- Debt financing and market concentration in an emerging economy: firm-level evidence from India pp. 451-474

- Indrani Chakraborty
- How financial market in Bangladesh appraises efficiency? pp. 475-494

- Syed Manzur Quader and Mohammad Nayeem Abdullah
Volume 53, issue 2, 2020
- Structural breaks and regional inflation convergence for five new Euro members pp. 219-239

- Scott Hegerty
- Revisiting the Wagner’s law for Indian States using second generation panel cointegration pp. 241-263

- Nupur Nirola and Sohini Sahu
- Aid for Trade and sectoral employment diversification in recipient-countries pp. 265-295

- Sèna Kimm Gnangnon
- Heterogeneous labor and structural change in low- and middle-income, resource-dependent countries pp. 297-332

- Peter Howie and Zauresh Atakhanova
- Finance–growth nexus in sub-Saharan Africa revisited: evidence based on a new composite index pp. 333-355

- Olufemi Adewale Aluko, Olufemi Patrick Adeyeye and Patrick Olajide Oladele
Volume 53, issue 1, 2020
- Asymmetric response of domestic production to exchange rate changes: evidence from Africa pp. 1-24

- Mohsen Bahmani-Oskooee and Augustine C. Arize
- Terms of trade volatility, exports, and GDP pp. 25-38

- Thorsten Janus
- Changes in the distribution of household consumption in Southeast Asia pp. 39-60

- Giang Nguyen
- The impact of globalization and economic freedom on economic growth: the case of the Latin America and Caribbean countries pp. 61-85

- Renato Santiago, José Alberto Fuinhas and António Marques
- Exploring the nexus among natural resource rents, human capital and industrial development in the SSA region pp. 87-111

- Mutiu Oyinlola, Abdulfatai Adedeji and Modupe O. Bolarinwa
- Monetary policy options for managing resource revenue shocks when fiscal policy is laissez-faire pp. 113-138

- Chuku Chuku
- Depression and grief as a result of economic and financial crises: the example of Greece and some generalizations pp. 139-149

- Ansgar Belke
- A simultaneous equation model of economic growth and shadow economy: Is there a difference between the developed and developing countries? pp. 151-170

- Nedra Baklouti and Younes Boujelbene
- Structural changes in exchange rate-stock returns dynamics in South Africa: examining the role of crisis and new trading platform pp. 171-193

- Andrew Phiri
- The effects of transitory and permanent inflation uncertainty on investment in Ghana pp. 195-217

- Bernard Njindan Iyke and Sin-Yu Ho
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