Empirica
1996 - 2025
Current editor(s): Fritz Breuss and Fritz Breuss From: Springer Austrian Institute for Economic Research Austrian Economic Association Contact information at EDIRC. Bibliographic data for series maintained by Sonal Shukla () and Springer Nature Abstracting and Indexing (). Access Statistics for this journal.
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Volume 43, issue 4, 2016
- Special Issue: Challenges for Europe 2050: Selected papers of the EUROFRAME Conference 2015 and the WWWforEurope Project pp. 657-660

- Michael Böheim and Harald Oberhofer
- Origins of reform resistance and the Southern European regime pp. 661-691

- Friedrich Heinemann and Theocharis Grigoriadis
- Where does EU money eventually go? The distribution of CAP expenditure across the European space pp. 693-727

- A. Bonfiglio, B. Camaioni, Silvia Coderoni, Roberto Esposti, F. Pagliacci and F. Sotte
- The “sugar rush” from innovation subsidies: a robust political economy perspective pp. 729-756

- Anders Gustafsson, Andreas Stephan, Alice Hallman and Nils Karlsson
- The effects of education and aging in an OLG model: long-run growth in France, Germany and Italy pp. 757-800

- Michele Catalano and Emilia Pezzolla
- Structural change and global value chains in the EU pp. 801-829

- Roman Stöllinger
- Social investment: A guiding principle for welfare state adjustment after the crisis? pp. 831-858

- Thomas Leoni
Volume 43, issue 2, 2016
- The future of the European Economic and Monetary Union: European monetary and fiscal policies pp. 215-217

- Reinhard Neck
- The eurozone financial crisis: debt, credit ratings and monetary and fiscal policy pp. 219-233

- Michael Wickens
- Monetary policies to counter the zero interest rate: an overview of research pp. 235-256

- Seppo Honkapohja
- The perils of debt deflation in the Euro area: a multi regime model pp. 257-278

- Willi Semmler and Alexander Haider
- Shadow short rate and monetary policy in the Euro area pp. 279-298

- Milan Damjanović and Igor Masten
- The impact of inheritances on the retirement behavior of older Europeans pp. 299-331

- Andreas Eder
- United we stand: on the macroeconomics of a Fiscal union pp. 333-347

- Reinhard Neck and Dmitri Blueschke
- Exchange rate bands of inaction and play-hysteresis in Greek exports to the Euro Area, the US and Turkey: sectoral evidence pp. 349-390

- Ansgar Belke and Dominik Kronen
- Trade implications of the Euro in EMU countries: a panel gravity analysis pp. 391-413

- Mohd Kunroo, Irfan Ahmad Sofi and Naushad Ali Azad
- Combining country-specific forecasts when forecasting Euro area macroeconomic aggregates pp. 415-444

- Jing Zeng
Volume 43, issue 1, 2016
- Macroeconomic variables and the sovereign risk premia in EMU, non-EMU EU, and developed countries pp. 1-35

- Arkady Gevorkyan and Willi Semmler
- POLONIA dynamics during the years 2006–2012 and the effectiveness of the monetary Policy of the National Bank of Poland pp. 37-59

- Agata Kliber, Pawel Kliber, Piotr Płuciennik and Małgorzata Piwnicka
- On the empirical relevance of the Lucas critique: the case of euro area money demand pp. 61-82

- Christian Dreger and Juergen Wolters
- Economic performance, government size, and institutional quality pp. 83-109

- Antonio Afonso and Joao Jalles
- Innovation behaviour of firms in a small open economy: the case of the Czech manufacturing industry pp. 111-139

- Marek Vokoun
- “New” monetary policy instruments and exchange rate volatility pp. 141-165

- Cüneyt Akar and Serkan Cicek
- The study of public debt: which are the distinctions between the emerging and advanced economies in the European Union? pp. 167-196

- Andreea Stoian and Filip Iorgulescu
- Contagion across Eurozone’s sovereign spreads and the Core-Periphery divide pp. 197-213

- Elisabetta Croci Angelini, Francesco Farina and Enzo Valentini
Volume 42, issue 4, 2015
- Development of stock market pricing in Central and Eastern Europe through two decades after the transition pp. 685-708

- Gábor Bóta and Mihály Ormos
- Carbon dioxide reducing environmental innovations, sector upstream/downstream integration and policy: evidence from the EU pp. 709-735

- Massimiliano Mazzanti, Giovanni Marin, Susanna Mancinelli and Francesco Nicolli
- Determining the asymmetric effects of oil price changes on macroeconomic variables: a case study of Turkey pp. 737-746

- Yeliz Yalcin, Cengiz Arikan and Furkan Emirmahmutoglu
- The transmission of foreign shocks to South Eastern European economies pp. 747-767

- Goran Petrevski, Jane Bogoev and Dragan Tevdovski
- New evidence on the determinants of current accounts in the EU pp. 769-793

- Agnieszka Gehringer
- The effects of global monetary policy and Greek debt crisis on the dynamic conditional correlations of currency markets pp. 795-811

- Costas Karfakis and Theodore Panagiotidis
- The effects of capital inflows on Turkish macroeconomic performance pp. 813-824

- Hakan Berument, Zulal Denaux and Furkan Emirmahmutoglu
- Central East European Countries’ accession into the European Union: role of extensive margin for trade in intermediate and final goods pp. 825-844

- Inmaculada Martínez-Zarzoso, Anca Voicu and Martina Vidovic
- On the size and determinants of inter-regional redistribution in European countries over the period 1995–2009 pp. 845-864

- Santiago Lago-Peñas, Albino Prada and Alberto Vaquero García
- New figures on unfunded public pension entitlements across Europe: concept, results and applications pp. 865-895

- Klaus Kaier and Christoph Müller
Volume 42, issue 3, 2015
- Testing stock market convergence: a non-linear factor approach pp. 481-498

- Guglielmo Maria Caporale, Burcu Erdogan and Vladimir Kuzin
- Monetary policy and sovereign debt: Does the ECB take the eurozone’s fiscal risks into account? pp. 499-520

- Andrew Hughes Hallett and John Lewis
- Sustainability of local government debt: a case study of Austrian municipalities pp. 521-546

- Johann Bröthaler, Michael Getzner and Gottfried Haber
- A hysteresis model-based indicator for employment adjustment rigidity pp. 547-569

- Paulo Mota, Jose Varejao and Paulo Vasconcelos
- Euro area financial shocks and economic activity in The Netherlands pp. 571-595

- Jürgen Antony and Peter Broer
- Non-linearity, persistence and spillover effects in stock returns: the role of the volatility index pp. 597-613

- Po-Chin Wu, Sheng-Chieh Pan and Xue-Ling Tai
- Disentangling different patterns of business cycle synchronicity in the EU regions pp. 615-641

- Ageliki Anagnostou, Ioannis Panteladis and Maria Tsiapa
- Financial integration, push factors and volatility of capital flows: evidence from EU new member states pp. 643-672

- Tomislav Globan
- Impulse response analysis and Orcutt’s hypothesis in trade pp. 673-683

- Mohsen Bahmani-Oskooee and Esmaeil Ebadi
Volume 42, issue 2, 2015
- Special Issue: The Economics of Inequality pp. 205-209

- Wilfried Altzinger, Giacomo Corneo and Agnes Kügler
- Can we reduce income inequality in OECD countries? pp. 211-223

- Anthony Atkinson
- Income inequality from a lifetime perspective pp. 225-239

- Giacomo Corneo
- Capital income shares and income inequality in 16 EU member countries pp. 241-268

- Eva Schlenker and Kai Schmid
- Socioeconomic structures of the Austrian wealth distribution pp. 269-289

- Stefan Humer, Mathias Moser and Matthias Schnetzer
- Factor decomposition of the wealth distribution in the euro area pp. 291-322

- Peter Lindner
- Who holds risky assets and how much? pp. 323-370

- Jun Zhan
- Income and wealth inequality after the financial crisis: the case of Germany pp. 371-390

- Markus Grabka
- Inequality and household debt: a panel cointegration analysis pp. 391-412

- Mathias Klein
- Gender in intergenerational educational persistence across time and place pp. 413-445

- Alyssa Schneebaum, Bernhard Rumplmaier and Wilfried Altzinger
- Income distribution and political participation: a multilevel analysis pp. 447-479

- Lorenzo Cicatiello, Salvatore Ercolano and Giuseppe Gaeta
Volume 42, issue 1, 2015
- Commodity trade between EU and Egypt and Orcutt’s hypothesis pp. 1-24

- Mohsen Bahmani-Oskooee and Amr Hosny
- Which factors affect the distribution of direct payments among farmers in the EU Member States? pp. 25-48

- S. Severini and A. Tantari
- Decomposing wage discrimination in Germany and Austria with counterfactual densities pp. 49-76

- Thomas Grandner and Dieter Gstach
- Regime dependent dynamics and European stock markets: Is asset allocation really possible? pp. 77-107

- Wasim Ahmad, N R Bhanumurthy and Sanjay Sehgal
- Exchange-rate volatility and commodity trade between the E.U. and Egypt: evidence from 59 industries pp. 109-129

- Mohsen Bahmani-Oskooee, Scott Hegerty and Amr Hosny
- Access to finance, exporting and a non-monotonic firm expansion pp. 131-155

- Joze Damijan, Crt Kostevc and Sašo Polanec
- Price and non-price competitiveness in export demand: empirical evidence from Italy pp. 157-183

- Bernardina Algieri
- Financial market reaction to Federal Reserve communications: Does the global financial crisis make a difference? pp. 185-203

- Bernd Hayo, Ali Kutan and Matthias Neuenkirch
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