Eurasian Economic Review
2011 - 2025
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 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
Volume 12, issue 4, 2022
- Dynamic effects of network exposure on equity markets pp. 569-629

- Mardi Dungey, Moses Kangogo and Vladimir Volkov
- Systemic risk and the financial network system: an experimental investigation pp. 631-651

- Yudistira Permana, Saiqa Akbar and Anisa Nurpita
- Comparing cryptocurrencies and gold - a system-GARCH-approach pp. 653-679

- Jens Klose
- Does the impact of geopolitical risk reduce with the financial structure of an economy? A perspective from market vs. bank-based emerging economies pp. 681-703

- Ecenur Ugurlu-Yildirim and Beyza Mina Ordu-Akkaya
- Cost efficiency in financial exchanges and post-trade infrastructures: a closer look at integration and product diversification pp. 705-743

- Seven Ipek and Cumhur Ekinci
- Balance-of-payments-constrained growth model: an application to the Kazakhstan’s economy pp. 745-767

- Zhandos Ybrayev
- Friends with or without benefits? An empirical evaluation of bilateral trade and economic integration between some of the post-Soviet economies pp. 769-795

- Andrzej Cieślik and Oleg Gurshev
Volume 12, issue 3, 2022
- Can wavelets produce a clearer picture of weak-form market efficiency in Bitcoin? pp. 373-386

- Andrew Phiri
- Testing for asymmetric non-linear short- and long-run relationships between crypto-currencies and stock markets pp. 387-425

- Achraf Ghorbel, Wajdi Frikha and Yasmine Snene Manzli
- Forecasting performance of Bayesian VEC-MSF models for financial data in the presence of long-run relationships pp. 427-448

- Anna Pajor and Justyna Wróblewska
- Does international trade favor proximity in cultural beliefs? pp. 449-477

- Chiara Franco and Daniela Maggioni
- FDI propensity and geo-cultural interaction in former Yugoslavia: pairwise analysis of origin and destination countries pp. 479-505

- Joel I. Deichmann, Stephen Grubaugh and Patrick Scholten
- Cultural values and the global financial crisis: a missing link? pp. 507-529

- Adem Baltaci, Raif Cergibozan and Ali Ari
- Employment effects of immigration to Germany in the period of migration policy liberalization, 2005–2018 pp. 531-565

- Isil Erol and Umut Unal
- Correction to: Employment effects of immigration to Germany in the period of migration policy liberalization, 2005–2018 pp. 567-568

- Isil Erol and Umut Unal
Volume 12, issue 2, 2022
- Regular employment and intergenerational income mobility in Japan pp. 187-212

- Zhi-xiao Jia
- A bibliometric review of the Waqf literature pp. 213-239

- Muneer Alshater, M. Kabir Hassan, Mamunur Rashid and Rashedul Hasan
- Do Islamic fundamental weighted indices outperform their conventional counterparts? An empirical investigation during the crises in the MENA region pp. 241-266

- Rasha Tawfiq Abadi and Florinda Silva
- Cross-time-frequency analysis of volatility linkages in global currency markets: an extended framework pp. 267-314

- Hasan Fehmi Baklaci and Tezer Yelkenci
- Volatility dependent smooth transitions and abrupt switches: why they are needed for better forecasting the FX rates pp. 315-332

- Arif Orçun Söylemez
- Herding behavior during the Covid-19 pandemic: a comparison between Asian and European stock markets based on intraday multifractality pp. 333-359

- Faheem Aslam, Paulo Ferreira, Haider Ali and Sumera Kauser
- The effect of ICT development on innovation: evidence from G-20 countries pp. 361-371

- Rudra P. Pradhan, Ajoy K. Sarangi and Ashim Sabat
Volume 12, issue 1, 2022
- The value of political connections and Sharia compliance during the COVID-19 pandemic pp. 1-28

- Budi Wahyono
- Depicting ethical dilemma in Islamic financial institutions; addressing the gender heterogeneity pp. 29-54

- Shinaj Valangattil Shamsudheen and Aishath Muneeza
- On the role of Islamic banks in the monetary policy transmission in Saudi Arabia pp. 55-94

- Amine Ben Amar
- How do the global equity and bond markets affect Islamic and conventional banks? A comparative cross-country analysis using multivariate regression quantiles pp. 95-114

- Resul Aydemir, Huzeyfe Zahit Atan and Bulent Guloglu
- Proposed model of integrated Islamic commercial and social finance for Islamic bank in Indonesia pp. 115-138

- Ascarya Ascarya, Ugi Suharto and Jardine A. Husman
- Market discipline and capital buffers in Islamic and conventional banks in the MENA region pp. 139-167

- Rihab Grassa, Nejia Moumen, M. Kabir Hassan and Khaled Hussainey
- The links between gold, oil prices and Islamic stock markets in a regime switching environment pp. 169-186

- Walid Chkili
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