Economic Research-Ekonomska Istraživanja
2009 - 2024
Current editor(s): Marinko Skare From Taylor & Francis Journals Bibliographic data for series maintained by Chris Longhurst (). Access Statistics for this journal.
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Volume 30, issue 1, 2017
- The idea of investor relations in the modern economy: a communication approach pp. 1-13

- Tomasz Gackowski
- Practical aspects of portfolio selection and optimisation on the capital market pp. 14-30

- Florin Turcas, Florin Dumiter, Petre Brezeanu, Pavel Farcas and Sorina Coroiu
- Comparing the innovation performance of EU candidate countries: an entropy-based TOPSIS approach pp. 31-54

- Selahattin Kaynak, Serkan Altuntas and Turkay Dereli
- Board characteristics and firm performances in emerging economies. Lessons from Romania pp. 55-75

- Sorin Nicolae Borlea, Monica Violeta Achim and Codruța Mare
- The effect of adaptation and trust on positional advantage of companies in B2B relationships: the moderating role of relationship value pp. 76-90

- Matjaž Iršič
- The effect of socioeconomic factors on crime rates in Romania: a macro-level analysis pp. 91-111

- Oana-Ramona Lobonţ, Ana-Cristina Nicolescu, Nicoleta-Claudia Moldovan and Ayhan Kuloğlu
- The effect of presidential election in the USA on stock return flow – a study of a political event pp. 112-124

- Saša Obradović and Nenad Tomić
- Identifying relationship between macroeconomic and fiscal policy variables for EU countries and Turkey pp. 125-139

- Yusuf Temur, Halit Çiçek, İlhan Eroğlu and Cumhur Erdem
- Determinants of the performance of investment funds managed in Hungary pp. 140-153

- Gábor Bóta and Mihály Ormos
- Audit reporting for going concern in Spain during the global financial crisis pp. 154-183

- Mercedes Mareque, Francisco López-Corrales and Aurea Pedrosa
- Survival of the fittest: an evolutionary approach to an export-led model of growth pp. 184-206

- J. Prašnikar, T. Redek and M. Drenkovska
- Enhancing growth and welfare through debt-financed education pp. 207-222

- Peter Stauvermann and Ronald Kumar
- An investigation of export–import ratios in Turkey using spline regression models pp. 223-237

- Ömer Alkan, Erkan Oktay, Aşır Genç and Ali Kemal Çelik
- Dynamic immunisation does not imply cash flow matching: a hard application to Spain pp. 238-255

- J. Iñaki De La Peña, Asier Garayeta and Iván Iturricastillo
- Use of the method of the stochastic trend for NAIRU estimation in the Czech Republic and Slovakia at the macro- and meso-levels pp. 256-272

- Emilie Jašová, Božena Kadeřábková and Klára Čermáková
- The investigation of inflation persistence in Croatia in the period of 2005–2013 pp. 273-289

- Piotr Misztal
- The effects of corporate social responsibility on customer-based brand equity: Spanish hypermarket case pp. 290-301

- Pablo Gutiérrez Rodríguez, Pedro Cuesta Valiño and José Luis Vázquez Burguete
- Changes of marketing culture expression: comparison analysis in times of economic recession and recovery pp. 302-317

- Daiva Zostautiene, Renata Zvireliene and Dalia Susniene
- Efficiency of bank branches: empirical evidence from a two-phase research approach pp. 318-333

- Violeta Cvetkoska and Gordana Savić
- A structural explanation for high interest rates in a rentier-led economy with endogenous money pp. 334-348

- Urban Sušnik
- Firm size and job creation: evidence from Turkey pp. 349-367

- Ergun Dogan, M. Qamarul Islam and Mehmet Yazici
- How do offline and online environments matter in the relational marketing approach? pp. 368-380

- Mar Gómez, Belén González-Díaz, David Martín-Consuegra and Arturo Molina
- Testing causal relation among central and eastern European equity markets: evidence from asymmetric causality test pp. 381-393

- Emrah Çevik, Turhan Korkmaz and Emre Cevik
- The determinants of electronic payment systems usage from consumers’ perspective pp. 394-415

- Emrah Oney, Gizem Oksuzoglu Guven and Wajid Hussain Rizvi
- The accuracy of alternative stock valuation methods – the case of the Warsaw Stock Exchange pp. 416-438

- Błażej Prusak
- Warfare tourism: an opportunity for Croatia? pp. 439-452

- Metod Šuligoj
- Monetary freedom and economic growth in New European Union Member States pp. 453-463

- Vladan Ivanović and Nenad Stanišić
- The relationship between gross domestic product and monetary variables in Romania. A Bayesian approach pp. 464-476

- Mihaela Simionescu, Jenica Popescu and Victoria Firescu
- GARCH models in value at risk estimation: empirical evidence from the Montenegrin stock exchange pp. 477-498

- Julija Cerović Smolović, Milena Lipovina-Božović and Saša Vujošević
- Short-term and long-term relationships between gold prices and precious metal (palladium, silver and platinum) and energy (crude oil and gasoline) prices pp. 499-510

- Mehmet Eryiğit
- Energy use, CO2 emissions and economic growth – causality on a sample of SEE countries pp. 511-526

- Saša Obradović and Nemanja Lojanica
- Economic growth, financial development, urbanisation and electricity consumption nexus in UAE pp. 527-549

- Rashid Sbia, Muhammad Shahbaz and Ilhan Ozturk
- Analysis of the efficiency of insurance companies in Serbia using the fuzzy AHP and TOPSIS methods pp. 550-565

- Mandić Ksenija, Delibašić Boris, Knežević Snežana and Benković Sladjana
- Taxation, growth and the stock traded nexus in emerging Asian countries: heterogeneous and semi-parametric panel estimates pp. 566-580

- Nanthakumar Loganathan, Roshaiza Taha, Norsiah Ahmad and Thirunaukarasu Subramaniam
- International trade and strategic behaviour: a game theoretical analysis of the trade dispute between Turkey and Russia pp. 581-595

- Aslı Taşbaşı
- The role of financial constraints on precautionary cash holdings: evidence from Pakistan pp. 596-610

- Qurat-ul-ann Azmat and Abdullah Muhammad Iqbal
- Application of transfer pricing methods in related companies in Croatia pp. 611-628

- Hrvoje Perčević and Mirjana Hladika
- How can we apply the models of the quality of life and the quality of life management in an economy based on knowledge? pp. 629-646

- Amelia Bucur
- Investors’ behaviour in regard to company earnings announcements during the recession period: evidence from the Macedonian stock exchange pp. 647-660

- Julijana Angelovska
- Measuring recent changes of insurance gross premiums distribution using ten inequality measures: case study of Croatia pp. 661-675

- Drago Jakovčević, Ksenija Dumičić and Mihovil Anđelinović
- Corporate social responsibility and financial performance relationship: a review of measurement approaches pp. 676-693

- Adriana Galant and Simon Cadez
- The role of benefits in employee motivation and retention in the financial sector of the Czech Republic pp. 694-704

- Iveta Němečková
- Using a multilevel modelling approach to explain the influence of economic development on the subjective well-being of individuals pp. 705-720

- Matic Novak and Marko Pahor
- Analysis of annual report disclosure quality for listed companies in transition countries pp. 721-731

- Snjezana Pivac, Tina Vuko and Marko Cular
- Strategic delegation and second mover advantage in duopoly pp. 732-744

- Jeong-Yoo Kim and Joon Yeop Kwon
- Determinants of transparency and disclosure – evidence from post-transition economies pp. 745-760

- Sasho Arsov and Vesna Bucevska
- Catastrophe risk management in Romania and Transylvania’ specifics. Issues for national and local administrations pp. 761-776

- Marius Dan Gavriletea
- Outward foreign direct investment and domestic investment: evidence from China pp. 777-788

- Waqar Ameer, Helian Xu and Mohammed Saud M Alotaish
- Combined forecasts to improve Survey of Profession Forecasters predictions for quarterly inflation in the U.S.A pp. 789-805

- Mihaela Simionescu, Beata Gavurova and Luboš Smrčka
- Investor protection and country-level governance: cross-country empirical panel data evidence pp. 806-817

- Paula Ramona Rachisan, Cristina Bota-Avram and Adrian Grosanu
- Corporate purpose in a small post-transitional economy: the case of Slovenia pp. 818-835

- Igor Stubelj, Primož Dolenc, Roberto Biloslavo, Matjaž Nahtigal and Suzana Laporšek
- A note on the interaction between stock prices and exchange rates in Middle-East economies pp. 836-844

- Parham Parsva and Chor Foon Tang
- Cluster analysis of higher-education competitiveness in selected European countries pp. 845-857

- József Kabók, Slobodan Radišić and Bogdan Kuzmanović
- Are business forecasts of the construction sector rational? Survey-based evidence from Malaysia pp. 858-872

- Chin-Hong Puah, Shirly Siew-Ling Wong and Muzafar Shah Habibullah
- IPR scenario and factors for promoting IPR culture: a post-TRIPS period analysis of selected pharmaceutical firms in North India pp. 873-891

- Ravi Kiran
- Intention to use new mobile payment systems: a comparative analysis of SMS and NFC payments pp. 892-910

- Francisco Liébana-Cabanillas, Iviane Ramos de Luna and Francisco Montoro-Ríos
- If we implement it, will they come? User resistance in post-acceptance usage behaviour within a business intelligence systems context pp. 911-921

- Aleš Popovič
- Audit fees and the salience of financial crisis: evidence from Slovenia pp. 922-938

- Maja Zaman Groff, Domen Trobec and Aleksander Igličar
- Predicting tourism demand by A.R.I.M.A. models pp. 939-950

- Biljana Petrevska
- Doing business with the poor: the rules and impact of the microfinance institutions pp. 951-963

- Wajid Khan, Sun Shaorong and Ikram Ullah
- Determinants of unemployment spells and exit destinations in Romania in a competing-risks approach pp. 964-984

- Daniela-Emanuela Dănăcică and Lucia Paliu-Popa
- Economic activities and unmarried labour pp. 985-991

- Muhammad Zaheer Khan and Amtul Hafeez
- The influence of science–industry collaboration on firms’ innovative performance – evidence from the Republic of Croatia pp. 992-1002

- Mirjana Jeleč Raguž and Nihada Mujić Mehičić
- The segmentation of the demand for ferry travel – a case study of Stena Line pp. 1003-1020

- Joanna Kizielewicz, Anntti Haahti, Tihomir Luković and Daniela Gračan
- Domestic and cross-border returns to bidders in acquisitions into the E.U pp. 1021-1032

- Samra Chaudary and Nawazish Mirza
- Antecedents and determinants of high-tech SMEs’ commercialisation enablers: opening the black box of open innovation practices pp. 1033-1056

- Aleš Pustovrh, Marko Jaklič, Sheila A. Martin and Matevž Rašković
- Employees’ individual values as a source of human capital pp. 1057-1072

- Ljuan Marko Gashi, Željko Požega and Boris Crnković
- Supplier evaluation and selection in fuzzy environments: a review of MADM approaches pp. 1073-1118

- Mehdi Keshavarz Ghorabaee, Maghsoud Amiri, Edmundas Kazimieras Zavadskas and Jurgita Antucheviciene
- Overconfidence, risk aversion and individual financial decisions in experimental asset markets pp. 1119-1131

- Julija Michailova, Alminas Mačiulis and Manuela Tvaronavičienė
- A social marketing perspective on road freight transportation of fresh fruits and vegetables: a Slovene case pp. 1132-1151

- Sandra Bonča, Andrej Udovč and Romina Rodela
- Evaluation of quality assurance in contractor contracts by multi-attribute decision-making methods pp. 1152-1180

- Eva Trinkūnienė, Valentinas Podvezko, Edmundas Kazimieras Zavadskas, Izolda Jokšienė, Irina Vinogradova and Vaidotas Trinkūnas
- Air pollution, economic growth and health care expenditure pp. 1181-1190

- Soheila Khoshnevis Yazdi and Bahman Khanalizadeh
- Regional absorption capacity of EU funds pp. 1191-1208

- Ines Kersan-Škabić and Lela Tijanić
- Reimbursement and hospital competition in China pp. 1209-1223

- Chan Wang and You-hua Chen
- Effects of corporate diversification on firm performance: evidence from the Serbian insurance industry pp. 1224-1236

- Ranka Krivokapic, Vladimir Njegomir and Dragan Stojic
- B.P.M. in transition economies: joint empirical experience of Slovenia and Serbia pp. 1237-1256

- Dragana Stojanović, Ivan Tomašević, Dragoslav Slović, Dušan Gošnik, Jana Suklan and Klemen Kavčič
- Extracting the innovation policies for Iran based on the approximation of policy implications for comparative economic doctrines pp. 1257-1276

- Sepehr Ghazinoory, Meysam Narimani, Faezeh Khamoushi and Hamid Kazemi
- The application of water cycle algorithm to portfolio selection pp. 1277-1299

- Mohammad Moradi, Ali Sadollah, Hoda Eskandar and Hadi Eskandar
- Examining shopping enjoyment: personal factors, word of mouth and moderating effects of demographics pp. 1300-1317

- Mirela Mihić and Ivana Kursan Milaković
- To be or not to be a business responsible for sustainable development? Survey from small Czech businesses pp. 1318-1338

- Marie Mikušová
- Why did some firms perform better in the global financial crisis? pp. 1339-1366

- Chien-Chiang Lee, Mei-Ping Chen and Shao-Lin Ning
- Risk arbitrage in emerging Europe: are cross-border mergers and acquisition deals more risky? pp. 1367-1389

- Alin Marius Andrieș and Cătălina Alexandra Vîrlan
- Why governments may opt for financial repression policies: selective credits and endogenous growth pp. 1390-1405

- Murat A. Yülek
- Interval-valued upside potential and downside risk portfolio optimisation pp. 1406-1426

- Massimiliano Kaucic and Roberto Daris
- The interaction of clusters between manufacturing and producer services in China pp. 1427-1442

- Bingqiang Li
- Tourism foreign direct investment led tourism gross value added: a co-integration and causality analysis of Croatian tourism pp. 1443-1460

- Heri Bezić and Maja Nikšić Radić
- Are some cultures more favourable for social entrepreneurship than others? pp. 1461-1476

- Irena Kedmenec and Sebastjan Strašek
- The nexus between the demand for life insurance and institutional factors in Europe: new evidence from a panel data approach pp. 1477-1496

- Simona Laura Dragos, Codruta Mare, Ingrid-Mihaela Dragota, Cristian Mihai Dragos and Gabriela Mihaela Muresan
- Multivariate Granger causality between macro variables and KSE 100 index: evidence from Johansen cointegration and Toda & Yamamoto causality pp. 1497-1521

- Rizwan Raheem Ahmed, Jolita Vveinhardt, Dalia Streimikiene and Majid Fayyaz
- The effects of fiscal policy during the financial crises in transition and emerging countries: does fiscal policy matter? pp. 1522-1535

- Besnik Fetai
- An evaluation of the effectiveness of an inflation targeting strategy in Turkey pp. 1536-1552

- İlhan Eroglu, Mehmet Çınar and Nadir Eroglu
- External imbalances in emerging and advanced European countries pp. 1553-1571

- Boris Cota, Nataša Erjavec and Željko Bogdan
- Macroeconomic model of institutional reforms’ influence on economic growth of the new EU members and the Republic of Croatia pp. 1572-1593

- Vesna Buterin, Marinko Skare and Denis Buterin
- Portfolio optimisation with higher moments of risk at the Pakistan Stock Exchange pp. 1594-1610

- Bushra Naqvi, Nawazish Mirza, Waqar Azeem Naqvi and S. K. A. Rizvi
- The risk–return profile of Lithuanian private pension funds pp. 1611-1630

- Audrius Kabašinskas, Kristina Šutienė, Miloš Kopa and Eimutis Valakevičius
- Return on strategic effectiveness – the need for synchronising growth and development strategies in the hotel industry using revenue management pp. 1631-1654

- Sonja Brlečić Valčić and Lidija Bagarić
- The influence of the assessment of internet websites offering tourist services on the manner of purchase of holiday packages pp. 1655-1668

- Tomasz Szopiński
- A new proposal for efficiency quantification of capital markets in the context of complex non-linear dynamics and chaos pp. 1669-1692

- Oprean Camelia, Tănăsescu Cristina and Bucur Amelia
- Insolvency in the Republic of Croatia pp. 1693-1704

- Zvonimira Šverko Grdić, Marinela Krstinić Nižić and Maja Mamula
- Correlation and causation between the UN Human Development Index and national and personal wealth and resource exploitation pp. 1705-1723

- Janez Sušnik and Pieter van der Zaag
- Innovation and economic growth in old and new member states of the European Union pp. 1724-1742

- Andrzej Kacprzyk and Wirginia Doryń
- Examining agency governance in the European Union financial sector – a case-study of the European Securities and Markets Authority pp. 1743-1757

- Ivana Bajakić and Marta Božina Beroš
- Financial development and firm growth in Turkish manufacturing industry: evidence from heterogeneous panel based non-causality test pp. 1758-1769

- Mert Topcu and Serap Çoban
- An overview of data envelopment analysis application in studies on the socio-economic performance of OECD countries pp. 1770-1784

- Danijela Rabar
- Accountants’ ethical perceptions from several perspectives: evidence from Slovenia pp. 1785-1803

- Marjan Odar, Mateja Jerman, Anton Jamnik and Slavka Kavčič
- Sector-specific gender pay gap: evidence from the European Union Countries pp. 1804-1819

- Veronika Hedija
- Analysis of competitiveness: energy sector and the electricity market in Russia pp. 1820-1828

- Evgeny Lisin, Yulia Marishkina, Wadim Strielkowski and Dalia Streimikiene
- Strategic management accounting in the Republic of Serbia pp. 1829-1839

- Ljiljana Dmitrović-Šaponja and Edin Suljović
- Do house prices influence stock prices? Empirical investigation from the panel of selected European Union countries pp. 1840-1849

- Ghulam Ali and Khalid Zaman
- Application of international accounting standard-16 in a public company with predominantly agricultural activities pp. 1850-1864

- Slobodan Popović, Srećko Novaković, Dragan Đuranović, Ranko Mijić, Željko Grublješić, Jugoslav Aničić and Aleksandar Majstorović
- The impact of regime-switching behaviour of price volatility on efficiency of the US sovereign debt market pp. 1865-1881

- Omar Masood, Bora Aktan, Beata Gavurová, Bachar Fakhry, Manuela Tvaronavičienė and Raimonda Martinkutė-Kaulienė
- Does rising import competition harm Vietnam’s local firm employment of the 2000s? pp. 1882-1895

- Truc Le Nguyen, Huong Vu Van, Lam Duc Nguyen and Tuyen Tran
- The impact of the economic conditions on the innovation activity of the companies from selected Balkan states pp. 1896-1913

- Marek Tomaszewski and Arkadiusz Świadek
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