Open Economies Review
1990 - 2025
Current editor(s): G.S. Tavlas 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 25, issue 5, 2014
- When is Lift-Off? Evaluating Forward Guidance from the Shadow pp. 819-839

- Matthias Neuenkirch and Pierre Siklos
- Reconsidering the International Comovement of Inflation pp. 841-863

- Marcel Förster and Peter Tillmann
- Demographic Change, International Trade and Capital Flows pp. 865-883

- Igor Fedotenkov, Bas van Groezen and Lex Meijdam
- Inflation and Business Cycle Convergence in the Euro Area: Empirical Analysis Using an Unobserved Component Model pp. 885-908

- Stephen Hall and Sérgio Lagoa
- Budgetary-Neutral Fiscal Policy Rules and External Adjustment pp. 909-936

- Stefan Hohberger, Lukas Vogel and Bernhard Herz
- Leading Indicators of Currency Crises: Are They the Same in Different Exchange Rate Regimes? pp. 937-957

- Yanping Zhao, Jakob Haan, Bert Scholtens and Haizhen Yang
- Indeterminacy and Pollution Haven Hypothesis in a Dynamic General Equilibrium Model pp. 959-980

- Akihiko Yanase
- Tales from the Bretton Woods pp. 981-991

- Michael Bordo
Volume 25, issue 4, 2014
- Real Exchange Rates, the Trade Balance and Net Foreign Assets: Long-Run Relationships and Measures of Misalignment pp. 635-653

- Guangfeng Zhang and Ronald MacDonald
- Exchange Rates and Trade Balance Adjustment: A Multi-Country Empirical Analysis pp. 655-675

- Michael Bleaney and Mo Tian
- Purchasing Power Parity Between the UK and Germany: The Euro Era pp. 677-699

- Giorgio Canarella, Stephen Miller and Stephen Pollard
- Trade Openness and Vertical Structure: Evidence From Korean Firm-Level Data pp. 701-720

- Hea-Jung Hyun and Jung Hur
- On the Monetary Approach to the Balance of Payments pp. 721-737

- Arman Mansoorian
- Monetary Policy Committee Transparency: Measurement, Determinants, and Economic Effects pp. 739-770

- Bernd Hayo and Ummad Mazhar
- Implications of Exchange Rate Pass-Through and Nontradable Goods for International Policy Cooperation pp. 771-795

- Masanori Kashiwagi
- Agricultural Exports, Tariffs and Growth pp. 797-807

- Leonid Azarnert
- A Crisis Transmission Channel for Reserve Currency Countries: A Cautionary Tale pp. 809-818

- Victoria Miller
Volume 25, issue 3, 2014
- China’s Growth, Stability, and Use of International Reserves pp. 407-428

- Joshua Aizenman, Yothin Jinjarak and Nancy Marion
- Optimal Exchange Intervention in an Inflation Targeting Regime: Some Cautionary Tales pp. 429-450

- Matthew Canzoneri and Robert Cumby
- The Effects of Fiscal Policy in a Small Open Economy with a Fixed Exchange Rate pp. 451-476

- Søren Hove Ravn and Morten Spange
- Vertical Trade, Exchange Rate Pass-Through, and the Exchange Rate Regime pp. 477-520

- Ke Pang and Yao Tang
- Contagion and Global Financial Crises: Lessons from Nine Crisis Episodes pp. 521-570

- Renee Fry-McKibbin, Cody Yu-Ling Hsiao and Chrismin Tang
- Endogenous Growth and External Balance in a Small Open Economy pp. 571-594

- George Alogoskoufis
- Capital Flows: Issues and Policies pp. 595-633

- Peter Montiel
Volume 25, issue 2, 2014
- Has Trade Become More Responsive to Income? Assessing the Evidence for US Imports pp. 225-241

- Janet Ceglowski
- Interest-Rate Spread and Public-Debt Dynamics in a Two-Country Monetary-Union Portfolio Model pp. 243-261

- Roberto Tamborini
- Labor Taxation and FDI Decisions in the European Union pp. 263-287

- Åsa Hansson and Karin Olofsdotter
- A Global Perspective on Effectiveness of Aid for Trade pp. 289-309

- Maria Berrittella and Jian Zhang
- The Signalling Channel of Central Bank Interventions: Modelling the Yen/US Dollar Exchange Rate pp. 311-336

- Yu-Fu Chen, Michael Funke and Nicole Glanemann
- The Non-Monetary Side of the Global Disinflation pp. 337-371

- Gregor Schwerhoff and Mouhamadou Sy
- Unanticipated vs. Anticipated Tax Reforms in a Two-Sector Open Economy pp. 373-406

- Olivier Cardi and Romain Restout
Volume 25, issue 1, 2014
- Papers in Honor of Patrick Minford pp. 1-2

- Juergen von Hagen and Michael Wickens
- External Imbalances and Fiscal Fragility in the Euro Area pp. 3-34

- Pietro Alessandrini, Michele Fratianni, Andrew Hughes Hallett and Andrea Presbitero
- Can We Prevent Boom-Bust Cycles During Euro Area Accession? pp. 35-69

- Michal Brzoza-Brzezina, Pascal Jacquinot and Marcin Kolasa
- The Tragedy of the Commons and Inflation Bias in the Euro Area pp. 71-91

- Valeriya Dinger, Sven Steinkamp and Frank Westermann
- Do Institutions and Culture Matter for Business Cycles? pp. 93-122

- Sumru Altug and Fabio Canova
- Banking and the Macroeconomy in China: A Banking Crisis Deferred? pp. 123-161

- Vo Phuong Mai Le, Kent Matthews, David Meenagh, A. Patrick Minford and Zhiguo Xiao
- The Balance Sheet and the Future of Fed Policy pp. 163-170

- Stephen Williamson
- How Useful are DSGE Macroeconomic Models for Forecasting? pp. 171-193

- Michael Wickens
- International Capital Flows in the Model with Limited Commitment and Incomplete Markets pp. 195-224

- Juergen von Hagen and Haiping Zhang
Volume 24, issue 5, 2013
- EMU, EU, Market Integration and Consumption Smoothing pp. 789-818

- Atanas Christev and Jacques Melitz
- Marginal Distance: Does Export Experience Reduce Firm Trade Costs? pp. 819-841

- Martina Lawless
- Fiscal Implications of the ECB’s Bond Buying Program pp. 843-852

- Paul De Grauwe and Yuemei Ji
- Exchange Rate Pass-through in a Small Open Economy: the Importance of the Distribution Sector pp. 853-879

- Pål Boug, Ådne Cappelen and Torbjørn Eika
- Financial Factors in the Business Cycle of a Small Open Economy: The Case of Korea pp. 881-900

- Junhee Lee and Wooheon Rhee
- Multilateral Export Decompositions pp. 901-918

- Andrew Cassey and Katherine Schmeiser
- What Drives Ireland’s Housing Market? A Bayesian DSGE Approach pp. 919-961

- Eric Mayer and Johannes Gareis
- Business Conditions and Exit Risks Across Countries pp. 963-976

- Michael Pflüger and Stephan Russek
Volume 24, issue 4, 2013
- What Causes Banking Crises? An Empirical Investigation for the World Economy pp. 581-611

- Vo Phuong Mai Le, David Meenagh, A. Patrick Minford and Zhirong Ou
- A Model of International Trade in Banking Services pp. 613-625

- David VanHoose
- Adjustment Mechanisms in a Currency Area pp. 627-656

- C. Goodhart and D. Lee
- Privatization, Incentive Delegation and Foreign Direct Investment pp. 657-676

- Arijit Mukherjee and Kullapat Suetrong
- Commodity Prices, Inflationary Pressures, and Monetary Policy: Evidence from BRICS Economies pp. 677-694

- Sushanta Mallick and Ricardo Sousa
- Joining the WTO: Why Does It Take So Long? pp. 695-716

- Kent Jones and Yunwei Gai
- Core Import Price Inflation in the United States pp. 717-730

- Janet Koech and Mark Wynne
- Individual Attitudes Towards Trade: Stolper-Samuelson Revisited pp. 731-761

- Ina Jäkel and Marcel Smolka
- Management Quality, Ownership, Firm Performance and Market Pressure in Russia pp. 763-788

- Helena Schweiger and Guido Friebel
Volume 24, issue 3, 2013
- Capital Flows and Economic Growth in the Era of Financial Integration and Crisis, 1990–2010 pp. 371-396

- Joshua Aizenman, Yothin Jinjarak and Donghyun Park
- Unemployment in Latin America and the Caribbean pp. 397-424

- Laurence Ball, Nicolás de Roux and Marc Hofstetter
- Determinants of Different Modes of FDI: Firm-Level Evidence from Japanese FDI into the US pp. 425-446

- Peiming Wang, Joseph Alba and Donghyun Park
- What if the UK had Joined the Euro in 1999? pp. 447-470

- Sandeep Mazumder and Ryan Pahl
- The Macroeconomic Effects of Large Exchange Rate Appreciations pp. 471-494

- Marcus Kappler, Helmut Reisen, Moritz Schularick and Édouard Turkisch
- Nontradable Goods and the Real Exchange Rate pp. 495-535

- Pau Rabanal and Vicente Tuesta
- Exchange Rate Regimes and Unemployment pp. 537-553

- Horst Feldmann
- Financial Globalisation and the Crisis pp. 555-580

- Philip Lane
Volume 24, issue 2, 2013
- Addressing International Empirical Puzzles: the Liquidity of Bonds pp. 197-215

- Matthew Canzoneri, Robert Cumby and Behzad Diba
- An Estimated Stochastic General Equilibrium Model with Partial Dollarization: A Bayesian Approach pp. 217-265

- Paul Castillo, Carlos Montoro and Vicente Tuesta
- The Simple Analytics of Sudden Stops pp. 267-281

- Peter Montiel
- Government Debt Denomination Policies Before and After the EMU Advent pp. 283-309

- Georges Hübner and Robert Joliet
- The Quantitative Importance of the Expenditure-Switching Effect pp. 311-338

- Wei Dong
- Heterogeneous Productivity and the Gains from Trade and FDI pp. 339-360

- Ehsan Choudhri and Antonio Marasco
- A Note on the Endogenous Timing of Tariff Policy in the Presence of a Time Lag between Production and Trade Decisions pp. 361-369

- Tsuyoshi Toshimitsu
Volume 24, issue 1, 2013
- Challenges and Risks in the International Monetary System: An Overview pp. 1-4

- Georgios Kouretas and Athanasios Papadopoulos
- Systematic and Liquidity Risk in Subprime-Mortgage Backed Securities pp. 5-32

- Mardi Dungey, Gerald Dwyer and Thomas Flavin
- U.S. Monetary Policy: A View from Macro Theory pp. 33-49

- William Gavin and Benjamin Keen
- Interest Rates, Leverage, and Money pp. 51-78

- Apostolos Serletis, Khandokar Istiak and Periklis Gogas
- Discretionary Government Consumption, Private Domestic Demand, and Crisis Episodes pp. 79-100

- Luca Agnello, Davide Furceri and Ricardo Sousa
- The New CFS Divisia Monetary Aggregates: Design, Construction, and Data Sources pp. 101-124

- William Barnett, Jia Liu, Ryan Mattson and Jeff Noort
- What Drives Clarity of Central Bank Communication About Inflation? pp. 125-145

- Ales Bulir, Martin Cihak and David-Jan Jansen
- Automatic Fiscal Stabilisers: What They Are and What They Do pp. 147-163

- Jan in 't Veld, Martin Larch and Marieke Vandeweyer
- The Performance of Simple Fiscal Policy Rules in Monetary Union pp. 165-196

- Lukas Vogel, Werner Roeger and Bernhard Herz
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