Eurasian Economic Review
2011 - 2024
Current editor(s): Dorothea Schäfer From: Springer Eurasia Business and Economics Society 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 14, issue 4, 2024
- Sustainability and the domestic credit market: worldwide evidence pp. 827-845

- Fátima Sol Murta and Paulo Miguel Gama
- Unravelling the European food security puzzle: exploring determinants and constructing a comprehensive measure pp. 847-871

- Jozef Palkovič
- Analyzing the influence of Airbnb announcements in the Asia Pacific Region: a sectoral perspective on travel, tourism, and real estate pp. 873-905

- Tchai Tavor
- Firm-specific attributes and capital gains overhang pp. 907-931

- Mohamad Husam Helmi and Mohamed Shaker Ahmed
- The response of oil-importing and oil-exporting countries’ macroeconomic aggregates to crude oil price shocks: some international evidence pp. 933-980

- Jin Shang and Shigeyuki Hamori
- Interest rate uncertainty and the shape of the yield curve of U.S. treasury bonds pp. 981-1003

- Yasmeen Bayaa and Mahmoud Qadan
- Balancing financial stability and economic growth: a comprehensive analysis of macroprudential regulation pp. 1005-1033

- Salma Gallas, Houssam Bouzgarrou and Montassar Zayati
- Non-parametric evidence on the determinants of access to financial services in the countries of the Organization of Turkic States pp. 1035-1055

- Kenan İlarslan
- Day-of-the-week effect: a meta-analysis pp. 1057-1094

- Leonard Grebe and Dirk Schiereck
Volume 14, issue 3, 2024
- The lens of the quantity theory of money to disentangle the perceived relationship between money growth and inflation: a PSVAR approach pp. 571-595

- Antonio Focacci, Angelo Focacci and Alessandro Faenza
- A computational model of the effects of borrower default on the stability of P2P lending platforms pp. 597-618

- Evangelos Katsamakas and J. Manuel Sánchez-Cartas
- Fiscal policy and real exchange rate variations in India pp. 619-640

- Biswajit Maitra and Dhritiman Ganguli
- An empirical examination of the effect of domestic monetary policy on external commercial borrowings to India pp. 641-661

- Virender Kumar and Poonam
- Correction to: An empirical examination of the effect of domestic monetary policy on external commercial borrowings to India pp. 663-664

- Virender Kumar and Poonam
- From volatility to stability: understanding the role of macroeconomic factors in sovereign CDS spreads pp. 665-707

- Huthaifa Sameeh Alqaralleh
- Economic policy uncertainty and cryptocurrencies pp. 709-728

- Chiara Oldani, Giovanni S. F. Bruno and Marcello Signorelli
- The impact of COVID-19 on Ethereum returns and Ethereum market efficiency pp. 729-755

- Naseem Al Rahahleh and Ahmed Al Qurashi
- Energy profile and oil shocks: a dynamic analysis of their impact on stock markets pp. 757-780

- Salem Adel Ziadat and Aktham Maghyereh
- Dynamic connectedness between energy and agricultural commodities: insights from the COVID-19 pandemic and Russia–Ukraine conflict pp. 781-825

- Noureddine Benlagha and Wafa Abdelmalek
Volume 14, issue 2, 2024
- Is interest rate hiking a recipe for missing several goals of monetary policy—beating inflation, preserving financial stability, and keeping up output growth? pp. 235-254

- Dorothea Schäfer and Willi Semmler
- The impact of the European Insider Trading and Market Manipulation Regulation on the volatility and abnormal returns of the stock market in Poland pp. 255-273

- Janusz Kudła and Barbara Gajus
- Decomposition of total factor productivity growth in Türkiye regions: a panel stochastic frontier approach pp. 275-300

- Nadide Gülbay Yiğiteli and Devran Şanlı
- The geometry of growth: how wealth distribution patterns predict economic development pp. 301-337

- Arie Jacobi and Joseph Tzur
- External debt and economic growth: moderating role of governance in South Asia Region pp. 339-360

- Umar Farooq, Adel Ahmed, Mosab I. Tabash, Mujeeb Saif Mohsen Al-Absy and Yasmeen Elsantil
- How herding led to a speculative bubble during a period of severely negative macro fundamentals: the case of Istanbul stock market pp. 361-395

- Umit Erol and Burak Dogan
- Financial development and economic growth in Asian countries: evidence from the DCCE approach pp. 397-420

- Yujue Wang, Nur Syazwani Mazlan, Wan Azman Saini Wan Ngah, Muhammad Faheem and Yifan Liang
- Public debt and growth in Asian developing economies: evidence of non-linearity and geographical heterogeneity pp. 421-452

- Gan-Ochir Doojav and Munkhbayar Baatarkhuu
- Dynamic spillovers between natural gas and BRICS stock markets during health and political crises pp. 453-485

- Mellouli Dhoha, Wael Dammak, Hind Alnafisah and Ahmed Jeribi
- Return spillovers between decentralized finance and centralized finance markets pp. 487-506

- Ramzi Nekhili, Mohammad Alomari, Walid Mensi and Jahangir Sultan
- Intraday spillovers in high-order moments among main cryptocurrency markets: the role of uncertainty indexes pp. 507-538

- Walid Mensi, Anoop S. Kumar, Hee-Un Ko and Sang Hoon Kang
- Exchange rate spillovers in the CIS pp. 539-570

- Salome Giorgadze
Volume 14, issue 1, 2024
- Macro-financial policy at the crossroad: addressing climate change, biodiversity loss, and environmental degradation - introduction to the special issue pp. 1-11

- Paola D’Orazio, Dorothea Schäfer and Andreas Stephan
- Ecological transition in a monetary economy of production: a heterodox approach pp. 13-37

- Maurizio Solari, Alexandre Le Bloc’h and Sergio Rossi
- Greener and cheaper: green monetary policy in the era of inflation and high interest rates pp. 39-60

- Nicolás Aguila and Joscha Wullweber
- Macroeconomic effects of green recovery programs pp. 61-86

- Angela Köppl and Margit Schratzenstaller
- Climate change, ESG criteria and recent regulation: challenges and opportunities pp. 87-120

- Mónica Oliver Yébenes
- The importance of the Greenium: experimental evidence on the role of certifications pp. 121-148

- Annarita Colasante, Andrea Morone and Piergiuseppe Morone
- Certification against greenwashing in nascent bond markets: lessons from African ESG bonds pp. 149-173

- Samuel Mutarindwa, Dorothea Schäfer and Andreas Stephan
- Is corporate governance important for green bond performance in emerging capital markets? pp. 175-212

- Ion Frecautan and Irina Ivashkovskaya
- Exploring the determinants of green bond market development in Bangladesh pp. 213-233

- Md. Bokhtiar Hasan, Md. Mamunur Rashid, Tapan Sarker and Muhammad Shafiullah
Volume 13, issue 3, 2023
- Economic policy uncertainty, geopolitical risk, market sentiment, and regional stocks: asymmetric analyses of the EU sectors pp. 321-372

- Ahmed Bossman, Mariya Gubareva and Tamara Teplova
- The role of labor market regulations on the sensitivity of unemployment to economic growth pp. 373-427

- Mindaugas Butkus, Laura Dargenyte-Kacileviciene, Kristina Matuzeviciute, Dovile Rupliene and Janina Seputiene
- Bank competition and liquidity hoarding pp. 429-467

- Japan Huynh
- Long memory and structural breaks of cryptocurrencies trading volume pp. 469-497

- Mohamed Shaker Ahmed and Elie Bouri
- Do product returns in the retail sector affect the price level? Evidence from the equation of exchange pp. 499-513

- Edoardo Beretta, Doris Neuberger and Richard Senner
- Fiscal decentralization and income inequality in OECD countries: does shadow economy matter? pp. 515-533

- Cong Minh Huynh, Tan Loi Nguyen and Thi Huong Tra Lam
- Impact of uncertainty on inflation forecast errors in Central and Eastern European countries pp. 535-574

- Agata Kliber, Magdalena Szyszko, Mariusz Próchniak and Aleksandra Rutkowska
- Impact of macroprudential policy on economic growth in Indonesia: a growth-at-risk approach pp. 575-613

- Raluca Maran
- Is precarity a fate for women in Türkiye? Rethinking energy poverty from a gender perspective pp. 615-636

- Meltem Ucal and Simge Günay
- Unveiling the influence of economic complexity and economic shocks on output growth volatility: evidence from a global sample pp. 637-676

- Lan Khanh Chu, Huong Hoang Diep Truong and Hoang Phuong Dung
- Bank performance, capital and size: a comparative analysis in MENA and EU pp. 677-702

- Marwan Al-Zoubi and Mais Sha’ban
- Effectiveness and conduct of macroprudential policy in Indonesia in 2003–2020: Evidence from the structural VAR models pp. 703-731

- Marek Dąbrowski and Dimas Mukhlas Widiantoro
- Active labor market policies and institutional quality of governance: evidence from OECD countries pp. 733-751

- Marwa Sahnoun and Chokri Abdennadher
- Social sentiment and exchange-specific liquidity at a Eurasian stock exchange outside of US market hours pp. 753-802

- Tamara Teplova, Mariya Gubareva and Nikolai Kudriavtsev
- Forecasting volatility by using wavelet transform, ARIMA and GARCH models pp. 803-830

- Lihki Rubio, Adriana Palacio Pinedo, Adriana Mejía Castaño and Filipe Ramos
Volume 13, issue 2, 2023
- The financial access, ICT trade balance and dark and bright sides of digitalization nexus in OECD countries pp. 177-209

- Mansour Naser Alraja, Faris ALShubiri, Basel M. Khashab and Mahmood Shah
- Bayesian VARs of the U.S. economy before and during the pandemic pp. 211-236

- Anna Sznajderska and Alfred Haug
- Catching up or getting stuck: convergence in Eastern European economies pp. 237-258

- István Kónya
- Health care financing and productivity of health care in OECD countries: a stochastic frontier analysis pp. 259-283

- Constantin Ogloblin
- Forecasting bitcoin volatility: exploring the potential of deep learning pp. 285-305

- Tiago E. Pratas, Filipe R. Ramos and Lihki Rubio
- Dynamic correlation and hedging strategy between Bitcoin prices and stock market during the Russo-Ukrainian war pp. 307-319

- Mariem Gaies and Walid Chkili
Volume 13, issue 1, 2023
- Do fiscal policies affect the firms’ growth and performance? Urban versus rural area pp. 1-33

- Alessandra Amendola, Marinella Boccia, Gianluca Mele and Luca Sensini
- An analysis of COVID-19 and WHO global research roadmap: knowledge mapping and future research agenda pp. 35-56

- Mohammad Ashraful Mobin, Masnun Mahi, M. Kabir Hassan, Marzia Habib, Shabiha Akter and Tahmina Hassan
- The Green Asset Ratio (GAR): a new key performance indicator for credit institutions pp. 57-83

- Volker Brühl
- Monetary shocks on the Korean stock index: structural VAR analysis pp. 85-102

- Yongseung Han and Myeong Hwan Kim
- Financial deepening and income inequality: is there a financial Kuznetz curve in Latin America? pp. 103-125

- Peter Mikek
- Do currency manipulations hurt US bilateral trade balance? pp. 127-144

- Muhammad Aftab, Mohsen Bahmani-Oskooee and Huseyin Karamelikli
- Pairs trading in the index options market pp. 145-173

- Marianna Brunetti and Roberta De Luca
- Correction to: Pairs trading in the index options market pp. 175-176

- Marianna Brunetti and Roberta Luca
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