Journal of Economic Policy Reform
2007 - 2020
Current editor(s): Dr Judith Clifton From Taylor and Francis Journals Bibliographic data for series maintained by Chris Longhurst (). Access Statistics for this journal.
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Volume 23, issue 1, 2020
- Science, innovation, and public services: editorial introduction pp. 1-15

- Stefano Clo and Massimo Florio
- Should governments fund basic science? Evidence from a willingness-to-pay experiment in five universities pp. 16-33

- Massimo Florio, Francesco Giffoni and Gelsomina Catalano
- The socio-economic value of satellite earth observations: huge, yet to be measured pp. 34-48

- Alessandra Tassa
- Trends and determinants of energy innovations: patents, environmental policies and oil prices pp. 49-66

- Alessandro Sterlacchini
- Innovation and new public water pp. 67-82

- David A. McDonald
- Innovative behavioral regulatory agencies as second generation commitment devices pp. 83-99

- Francesc Trillas
Volume 22, issue 4, 2019
- Finance and unemployment: new panel evidence pp. 307-324

- Dong-Hyeon Kim, Ting-Cih Chen and Shu-Chin Lin
- Structural reforms and growth in developing countries pp. 325-350

- Tolga Aksoy
- Young democracies and government debt: evidence from South America pp. 351-368

- Manoel Bittencourt
- The IMF to the rescue: did Greece benefit from the fund’s experience in dealing with highly indebted countries? pp. 369-383

- Sebastian Dullien, Barbara Fritz and Laurissa Mühlich
- An empirical analysis of disinvestment policy in India: does ideology matter? pp. 384-398

- Ritika Jain and Shubhro Sarkar
- Demographic change and income tax revenues – results from a large microsimulation model for Germany pp. 399-419

- Lena Calahorrano, Luca Rebeggiani, Sven Stöwhase and Martin Teuber
Volume 22, issue 3, 2019
- Reinforcing supranational bank regulation, supervision, support and resolution in Europe: introduction pp. 203-207

- David Howarth and Joachim Schild
- European banks’ executive remuneration under the new European Union regulation pp. 208-225

- Pablo de Andrés, Rodrigo Reig and Eleuterio Vallelado
- Balancing market liquidity: Bank Structural Reform caught between growth and stability pp. 226-241

- Vanessa Endrejat and Matthias Thiemann
- Building responsive supervision over smaller banks in Europe: an insight from the Principal-Agent perspective pp. 242-256

- Jakub Gren
- The multiple accountabilities of the European Banking Authority pp. 257-272

- John-Paul Salter
- Consultations and the ECB as prudential regulator: enhancing legitimacy? pp. 273-290

- Ute Lettanie
- A common backstop to the Single Resolution Fund pp. 291-306

- Florian Brandt and Matthias Wohlfahrt
Volume 22, issue 2, 2019
- Rethinking value in health innovation: from mystifications towards prescriptions pp. 101-119

- Mariana Mazzucato and Victor Roy
- State-owned banks in the market for corporate control pp. 120-147

- Emanuele Bacchiocchi, Matteo Ferraris, Massimo Florio and Daniela Vandone
- Achieving the triple dividend in Portugal: a dynamic general-equilibrium evaluation of a carbon tax indexed to emissions trading pp. 148-163

- Alfredo Pereira and Rui Pereira
- Asymmetric government expenditure: a comparison of advanced and developing countries pp. 164-183

- Ali Aşkın Çulha
- Inter-local relations and trans-scaling through finance in Poland pp. 184-201

- Julita Łukomska and Katarzyna Szmigiel-Rawska
Volume 22, issue 1, 2019
- How do mega-bank merger policy and regulations contribute to financial stability? Evidence from Australia and Canada pp. 1-15

- Caner Bakir
- Impact of domestic financial liberalization on economic growth in Pakistan pp. 16-34

- Samina Naveed and Zafar Mahmood
- Why is change so slow? Assessing prospects for United Nations Security Council reform pp. 35-50

- Madeleine O. Hosli and Thomas Dörfler
- Fiscal decentralization and corporate investment: empirical evidence from China pp. 51-68

- Shenghao Gao, Liming Wang, Ningyue Liu and Min Zhang
- Macroeconomic effects of increased wage flexibility in EMU pp. 69-83

- Dirk Bursian and Nikolai Stähler
- A new proposal of pension regimes typology: empirical analysis of the OECD countries pp. 84-99

- Edyta Marcinkiewicz and Filip Chybalski
Volume 21, issue 4, 2018
- European integration in the aftermath of the debt crisis pp. 257-259

- Christopher Hartwell, Elias Soukiazis, Eva Muchová and Roman Horvath
- The effect of political volatility on capital markets in EU accession and neighborhood countries pp. 260-280

- Christopher Hartwell
- Real-time uncertainty in budget planning: evidence from euro area countries pp. 281-300

- Maritta Paloviita and Pasi Ikonen
- What can eastern European countries learn from the Slovak economy? A twin deficit growth approach pp. 301-318

- Elias Soukiazis, Eva Muchova, Pedro Cerqueira and Micaela Antunes
- Financial market fragmentation and monetary transmission in the euro area: what do we know? pp. 319-334

- Roman Horvath
- Performance of the Macroeconomic Imbalance Procedure in light of historical experience in the CEE region pp. 335-352

- Mária Širaňová and Marek Radvansky
- Monetary integration vs. real disintegration: single currency and productivity divergence in the euro area pp. 353-367

- Alberto Bagnai and Christian Alexander Mongeau Ospina
- Editorial Board pp. ebi-ebi

- The Editors
Volume 21, issue 3, 2018
- Special edition on reforming Banking Union: introduction pp. 175-177

- David Howarth and Joachim Schild
- Banking union: the problem of untried systems pp. 178-189

- David Mayes
- The difficult construction of a European Deposit Insurance Scheme: a step too far in Banking Union? pp. 190-209

- David Howarth and Lucia Quaglia
- Advocacy coalitions and the lack of deposit insurance in Banking Union pp. 210-223

- Shawn Donnelly
- Deposit guarantee reform in Europe: does European deposit insurance scheme increase banking stability? pp. 224-239

- Rosaria Cerrone
- Rethinking the allocation of macroprudential mandates within the Banking Union – a perspective from east of the BU pp. 240-256

- Katalin Mérő and Dora Piroska
Volume 21, issue 2, 2018
- Special edition on constructing Banking Union: Introduction pp. 99-101

- The Editors
- Germany and France at cross purposes: the case of Banking Union pp. 102-117

- Joachim Schild
- International law as a negotiation tool in Banking Union; the case of the Single Resolution Fund pp. 118-131

- Ioannis G. Asimakopoulos
- Banking union: the disadvantages of opportunism pp. 132-143

- David Mayes
- Harmonizing national options and discretions in the EU banking regulation pp. 144-158

- Zdenek Kudrna and Sonja Puntscher Riekmann
- Liberal economic nationalism, financial stability, and Commission leniency in Banking Union pp. 159-173

- Shawn Donnelly
Volume 21, issue 1, 2018
- An exploratory study on the impact of pro-market reforms on the Indian corporate sector pp. 1-20

- Amit Baran Chakrabarti and Sougata Ray
- Poverty, disputes, and access to justice in two Indonesian provinces pp. 21-38

- Jose Cuesta, Lucia Madrigal and Emmanuel Skoufias
- Restrictive or expansive selection: the uneven role of tariff structure in improving market access pp. 39-58

- Carmen Fillat-Castejon
- Bubble economics and structural change: the cases of Spain and France compared pp. 59-79

- Pablo Agnese and Jana Hromcová
- Can a temporary financial assistance scheme prevent a transition into poverty among individuals who experienced a life event crisis? pp. 80-97

- Chang-O Kim
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