Economic Policy
1997 - 2025
Current editor(s): Ghazala Azmat, Roberto Galbiati, Isabelle Mejean and Moritz Schularick From: CEPR, CESifo, Sciences Po Contact information at EDIRC. CES Contact information at EDIRC. MSH Contact information at EDIRC. Bibliographic data for series maintained by Oxford University Press (). Access Statistics for this journal.
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Volume 28, issue 76, 2013
- The march of an economic idea? Protectionism isn't counter-cyclic (anymore) (Is there a consensus among economists in the 1990s?) pp. 569-612

- Andrew Rose
- Fragmentation, incomes and jobs: an analysis of European competitiveness (Who captures value in global supply chains?) pp. 613-661

- Marcel Timmer, Bart Los, Robert Stehrer and Gaaitzen de Vries
- Internationalization and innovation of firms: evidence and policy (Managing knowledge within and outside the multinational corporation) pp. 663-700

- Carlo Altomonte, Tommaso Aquilante, Gábor Békés and Gianmarco Ottaviano
- Planes, ships and taxes: charging for international aviation and maritime emissions (Work Stream 2: Paper on potential revenues from international maritime and aviation sector policy measures) pp. 701-749

- Michael Keen, Ian Parry and Jon Strand
Volume 28, issue 75, 2013
- Fiscal union in Europe? Redistributive and stabilizing effects of a European tax-benefit system and fiscal equalization mechanism (A strong employment agenda – the pathway to economic recovery) pp. 375-422

- Olivier Bargain, Mathias Dolls, Clemens Fuest, Dirk Neumann, Andreas Peichl, Nico Pestel and Sebastian Siegloch
- Bank lending and monetary transmission in the euro area (Bank capital, bank lending and monetary policy in the euro area) pp. 423-457

- Roberto A. De Santis and Paolo Surico
- Heterogeneous transmission mechanism: monetary policy and financial fragility in the eurozone (Which financial frictions? Parsing the evidence from the financial crisis of 2007-9) pp. 459-512

- Matteo Ciccarelli, Angela Maddaloni and Jose-Luis Peydro
- The Greek debt restructuring: an autopsy (Greek bond buyback boondoggle) pp. 513-563

- Jeromin Zettelmeyer, Christoph Trebesch and Mitu Gulati
Volume 28, issue 74, 2013
- Trends in European real exchange rates (Trade costs) pp. 193-242

- Martin Berka and Michael Devereux
- A monetary policy strategy in good and bad times: lessons from the recent past (Inflation persistence and price-setting behavior in the euro area – a summary of the IPN evidence) pp. 243-288

- Stephan Fahr, Roberto Motto, Massimo Rostagno, Frank Smets and Oreste Tristani
- Bank ratings: what determines their quality? (Bank risk during the financial crisis: do business models matter?) pp. 289-333

- Harald Hau, Sam Langfield and David Marques-Ibanez
- Why banks are not too big to fail – evidence from the CDS market (Capital shortfall: a new approach to ranking and regulating systemic risks) pp. 335-369

- Andreas Barth and Isabel Schnabel
Volume 28, issue 73, 2013
- Supervising cross-border banks: theory, evidence and policy (Is the international convergence of capital adequacy regulation desirable?) pp. 5-44

- Thorsten Beck, Radomir Todorov and Wolf Wagner
- Educational policies in a long-run perspective (The governance and performance of universities: evidence from Europe and the U.S) pp. 45-100

- Michela Braga, Daniele Checchi and Elena Meschi
- External imbalances in the eurozone (Trade effects of the euro: evidence from sectoral data) pp. 101-142

- Ruo Chen, Gian Maria Milesi-Ferretti and Thierry Tressel
- Multiple faces of preferential market access: their causes and consequences (Gravity with gravitas: a solution to the border puzzle) pp. 143-187

- Peter Egger and Georg Wamser
Volume 27, issue 72, 2012
- What determines government spending multipliers? (Mafia and public spending: Evidence of the fiscal multiplier from a quasi-experiment’, mimeo) pp. 521-565

- Giancarlo Corsetti, Andre Meier and Gernot Müller
- Comparative advantage and the welfare impact of European integration (General equilibrium analysis of the Eaton–Kortum model of international trade) pp. 567-602

- Andrei Levchenko and Jing Zhang
- Recapitalization, credit and liquidity (Liquidity and leverage) pp. 603-646

- Mike Mariathasan and Ouarda Merrouche
- How housing slumps end (Financial institutions and markets across countries and over time: data and analysis) pp. 647-692

- Agustín Bénétrix, Barry Eichengreen and Kevin O'Rourke
Volume 27, issue 71, 2012
- Reassessing the fiscal mix for successful debt reduction (A historical public debt database) pp. 365-406

- Emanuele Baldacci, Sanjeev Gupta and Carlos Mulas-Granados
- What does a financial shock do? First international evidence (Financial intermediaries, financial stability and monetary policy) pp. 407-445

- Fabio Fornari and Livio Stracca
- Venture capital and patented innovation: evidence from Europe (The market for “lemons”: Quality, uncertainty and the market mechanism) pp. 447-482

- Alexander Popov and Peter Roosenboom
- Financial liberalization and reversals: political and economic determinants (A new database of financial reforms) pp. 483-513

- Nauro Campos and Fabrizio Coricelli
Volume 27, issue 70, 2012
- The eurozone crisis: how banks and sovereigns came to be joined at the hip (A pyrrhic victory? Bank bailouts and sovereign credit risk) pp. 199-230

- Ashoka Mody and Damiano Sandri
- Sovereign spreads in the eurozone: which prospects for a Eurobond? (Asset pricing with liquidity risk) pp. 231-273

- Carlo Favero and Alessandro Missale
- Capital access bonds: contingent capital with an option to convert (Caught between Scylla and Charybdis? Regulating bank leverage when there is rent seeking and risk shifting) pp. 275-317

- Patrick Bolton and Frédéric Samama
- Financial frictions, financial integration and the international propagation of shocks (Optimal monetary policy under commitment with a zero bound on nominal interest rates) pp. 319-359

- Luca Dedola and Giovanni Lombardo
Volume 27, issue 69, 2012
- Finance and employment* (Credit constraints as a barrier to the entry and post-entry growth of firms) pp. 5-55

- Marco Pagano and Giovanni Pica
- Foreign banks and foreign currency lending in emerging Europe (Capital structure and financial risk: evidence from foreign debt use in East Asia) pp. 57-98

- Martin Brown and Ralph De Haas
- The international experience of minimum wages in an economic downturn* (The tail of two countries: minimum wage and employment in France and the United-States) pp. 99-142

- Peter Dolton and Chiara Rosazza Bondibene
- Educational achievement of second-generation immigrants: an international comparison* (The economic situation of first and second-generation immigrants in France, Germany and the United Kingdom) pp. 143-185

- Christian Dustmann, Tommaso Frattini and Gianandrea Lanzara
- Erratum to: ‘Assessing the fiscal stance in the European Union and the United States, 1970–2011’ pp. 187-193

- Vito Polito and Michael Wickens
Volume 26, issue 68, 2011
- Fiscal policy, pricing frictions and monetary accommodation (Expansionary fiscal consolidations in Europe: New evidence) pp. 555-598

- Fabio Canova and Evi Pappa
- Assessing the fiscal stance in the European Union and the United States, 1970–2011 (A historical public debt database) pp. 599-647

- Vito Polito and Michael Wickens
- What should fiscal councils do? (Fiscal policy when monetary policy is tied to the mast) pp. 649-695

- Lars Calmfors and Simon Wren-Lewis
- Short-time work benefits revisited: some lessons from the Great Recession (Reversed roles? Wage and employment effects of the current crisis) pp. 697-765

- Tito Boeri and Herbert Bruecker
Volume 26, issue 67, 2011
- Crime in Europe and the United States: dissecting the ‘reversal of misfortunes’ (Protective or counter-productive? Labour market institutions and the effect of immigration on EU natives) pp. 347-385

- Paolo Buonanno, Francesco Drago, Roberto Galbiati and Giulio Zanella
- Mobile telecommunications and the impact on economic development (Discussion of “Why is infrastructure important?” in Alicia H. Munnell, (ed.), Is there a shortfall in public capital investment?) pp. 387-426

- Harald Gruber and Pantelis Koutroumpis
- How much do educational outcomes matter in OECD countries? (Accountability and flexibility in public schools: Evidence from Boston’s charters and pilots) pp. 427-491

- Eric Hanushek and Ludger Woessmann
- Keynesian government spending multipliers and spillovers in the euro area (Fiscal policy and growth: do financial crises make a difference?) pp. 493-549

- Tobias Cwik and Volker Wieland
Volume 26, issue 66, 2011
- The bank lending channel: lessons from the crisis (Financial intermediaries and monetary economics) pp. 135-182

- Leonardo Gambacorta and David Marques-Ibanez
- Lessons from a collapse of a financial system (Looting: The economic underworld of bankruptcy for profit) pp. 183-235

- Sigridur Benediktsdottir, Jon Danielsson and Gylfi Zoega
- Monetary policy and the global housing bubble (Assessing dynamic efficiency: theory and evidence) pp. 237-287

- Jane Dokko, Brian M. Doyle, Michael Kiley, Jinill Kim, Shane Sherlund, Jae Sim and Skander Van den Heuvel
- The great retrenchment: international capital flows during the global financial crisis (The great trade collapse: what caused it and what does it mean?) pp. 289-346

- Gian Maria Milesi-Ferretti and Cédric Tille
Volume 26, issue 65, 2011
- If you pay peanuts do you get monkeys? A cross-country analysis of teacher pay and pupil performance (Discrimination in the market for public school teachers) pp. 5-55

- Peter Dolton and Oscar D. Marcenaro-Gutierrez
- Ethnic identity and labour market outcomes of immigrants in Europe (Assessing the oppositional culture explanation for racial/ethnic differences in school performance) pp. 57-92

- Alberto Bisin, Eleonora Patacchini, Thierry Verdier and Yves Zenou
- Who needs credit and who gets credit in Eastern Europe? (Interaction terms in logit and probit models) pp. 93-130

- Martin Brown, Steven Ongena, Alexander Popov and Pinar Yesin
Volume 25, issue 64, 2010
- Currency mismatch, systemic risk and growth in emerging Europe (Capital structure and financial risk: evidence from foreign debt use in East Asia) pp. 597-658

- Romain Ranciere, Aaron Tornell and Athanasios Vamvakidis
- Mitigating the pro-cyclicality of Basel II (Bank loan loss provisions: a re-examination of capital management, earnings management and signalling effects) pp. 659-702

- Rafael Repullo, Jesús Saurina and Carlos Trucharte
- Multinational banking in Europe – financial stability and regulatory implications: lessons from the financial crisis (Cross subsidies, external financing constraints, and the contribution of the internal capital market to firm value) pp. 703-753

- Giorgio Barba Navaretti, Giacomo Calzolari, Alberto Pozzolo and Micol Levi
- Inflation risk and the inflation risk premium (Do macro variables, asset markets or surveys forecast inflation better?) pp. 755-806

- Geert Bekaert and Xiaozheng Wang
Volume 25, issue 63, 2010
- Monetary policy and financial imbalances: facts and fiction (Liquidity shocks and asset price boom/bust cycles) pp. 437-482

- Katrin Assenmacher and Stefan Gerlach
- Disability, capacity for work and the business cycle: an international perspective (Has the boom in incapacity benefit claimant numbers passed its peak?) pp. 483-536

- Hugo Benitez-Silva, Richard Disney and Sergi Jimenez-Martin
- Corporate tax harmonization in the EU (Taxing corporate income) pp. 537-590

- Leon Bettendorf, Michael Devereux, Albert Van Der Horst, Simon Loretz and Ruud de Mooij
Volume 25, issue 62, 2010
- From Great Depression to Great Credit Crisis: similarities, differences and lessons (Germany: Guns, butter, and economic miracles) pp. 219-265

- Miguel Almunia, Agustín Bénétrix, Barry Eichengreen, Kevin H. O’Rourke and Gisela Rua
- Cross-country experiences and policy implications from the global financial crisis (From Great Depression to Great Credit Crisis: Similarities, differences and lessons) pp. 267-293

- Stijn Claessens, Giovanni Dell’Ariccia, Deniz Igan and Luc Laeven
- Monetary policy in exceptional times (Preventing deflation: Lessons from Japan’s experience in the 1990s) pp. 295-339

- Michele Lenza, Huw Pill and Lucrezia Reichlin
- Banking crisis management in the EU: an early assessment (Open letter to European leaders on Europe’s banking crisis: a call for action) pp. 341-373

- Jean Pisani-Ferry and Andre Sapir
- Post-crisis challenges to bank regulation (Dividends and bank capital in the financial crisis of 2007–2009) pp. 375-399

- Xavier Freixas
- Credit ratings failures and policy options (Cash-in-the-market pricing and optimal resolution of bank failures) pp. 401-431

- Marco Pagano and Paolo Volpin
Volume 25, issue 61, 2010
- The governance and performance of universities: evidence from Europe and the US (Distance to frontier, selection, and economic growth) pp. 7-59

- Philippe Aghion, Mathias Dewatripont, Caroline Hoxby, Andreu Mas-Colell and Andre Sapir
- Reforms and re-elections in OECD countries (Regulation and distrust) pp. 61-116

- Marco Buti, Alessandro Turrini, Paul Van den Noord and Pietro Biroli
- The effects of employment protection legislation and financial market imperfections on investment: evidence from a firm-level panel of EU countries (Technology and labour regulations) pp. 117-163

- Federico Cingano, Marco Leonardi, Julian Messina and Giovanni Pica
- Drugs policy: what should we do about cannabis? (Taxes, cigarette consumption and smoking intensity) pp. 165-211

- Stephen Pudney
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