International Economics - Economie Internationale

Volume 160, December 2019

  • Bellert, N. & Fauceglia, D. - A practical routine to harmonize product classifications over time, pp. 84–89.
  • Bonnet, C., Hache, E., Seck, G.S., Simoën, M., & Carcanague, S. - Who’s winning the low-carbon innovation race? An assessment of countries’ leadership in renewable energy technologies, pp. 31–42.
  • Botev, J., Égert, B., & Jawadi, F. - The nonlinear relationship between economic growth and financial development: Evidence from developing, emerging and advanced economies, pp. 3–13.
  • Kang, S.H., Arreola Hernandez, J., & Yoon, S.-M. - Who leads the inflation cycle in Europe? Inflation cycle and spillover influence among Eurozone and non-Eurozone economies, pp. 56–71.
  • Koengkan, M., Santiago, R., & Fuinhas, J.A. - The impact of public capital stock on energy consumption: Empirical evidence from Latin America and the Caribbean region, pp. 43–55.
  • Subramaniam, Y., Masron, T.A., & Azman, N.H.N. - The impact of biofuels on food security, pp. 72–83.
  • Wang, H. & Boatwright, A.L. - Political uncertainty and financial market reactions: A new test, pp. 14–30.

Data, tools and replication section

  • BELLERT Nicole, FAUCEGLIA Dario - A practical routine to harmonize product classifications over time, pp. 84-89

Volume 159, October 2019

  • Bahmani-Oskooee, M., Harvey, H. - Who is hurt by dollar-euro volatility in the euro zone?, pp. 36–47
  • Caporale, G.M., Gil-Alaña, L. - Testing the Fisher hypothesis in the G-7 countries using I(d) techniques, pp. 140–150
  • Chuku, C., Simpasa, A.,, Oduor, J. - Intelligent forecasting of economic growth for developing economies, pp. 74–93
  • de Soyres, F., Mulabdic, A., Murray, S., Rocha, N., Ruta, M. - How much will the Belt and Road Initiative reduce trade costs?, pp. 151–164
  • Editorial Board, pp. ii
  • Hassani, H., Yeganegi, M.R., Gupta, R. - Does inequality really matter in forecasting real housing returns of the United Kingdom?, pp. 18–25
  • Kharel, P. - Product relatedness in the extensive margin of bilateral trade, pp. 105–120
  • Leroy, A. - Banking competition, financial dependence and productivity growth in Europe, pp. 1–17
  • Nordås, H.K. - Frankel and Romer revisited, pp. 26–35
  • Onwachukwu, C.I., Okagbue, E.F. - Unemployment effect of WTO ascension: Evidence from a natural experiment, pp. 48–55
  • Selmi, R., Bouoiyour, J., Miftah, A. - China’s “New normal”: Will China’s growth slowdown derail the BRICS stock markets?, pp. 121–139
  • Shahbaz, M., Gozgor, G., Adom, P.K., Hammoudeh, S. - The technical decomposition of carbon emissions and the concerns about FDI and trade openness effects in the United States, pp. 56–73
  • Yusgiantoro, I., Soedarmono, W., Tarazi, A. - Bank consolidation and financial stability in Indonesia, pp. 94–104

Volume 158, August 2019

  • Boako G., Tiwari A.K., Roubaud D. - Vine copula-based dependence and portfolio value-at-risk analysis of the cryptocurrency market, pp. 77–90
  • Gil-Alana L.A., Trani T. - An examination of trade-weighted real exchange rates based on fractional integration, pp. 64–76
  • Karras G. - Are “twin deficits” asymmetric? Evidence on government budget and current account balances, 1870–2013, pp. 12–24
  • Liu B., Gao J. - Understanding the non-Gaussian distribution of revealed comparative advantage index and its alternatives, pp. 1–11
  • Mahraddika W. - Does international reserve accumulation crowd out domestic private investment?, pp. 39–50
  • Shahbaz M., Kumar Mahalik M., Jawad Hussain Shahzad S., Hammoudeh S. - Testing the globalization-driven carbon emissions hypothesis: International evidence, pp. 25–38
  • Spånberg E., Shahnazarian H. - The importance of the financial system for the current account in Sweden: A sectoral approach, pp. 91–103
  • Yaya O.S., Ling P.K., Furuoka F., Rose Ezeoke C.M., Jacob R.I. - Can West African countries catch up with Nigeria? Evidence from smooth nonlinearity method in fractional unit root framework, pp. 51–63

Volume 157, May 2019

  • BAKU Elisa - Exchange rate predictability in emerging markets, pp. 1-22
  • CHARLES Amélie, DARNÉ Olivier - Volatility estimation for Bitcoin: Replication and robustness, pp. 23-32
  • GABRIELI Silvia, SALAKHOVA Dilyara - Cross-border interbank contagion in the European banking sector, pp. 33-54
  • POISSONNIER Aurélien - Iterative solutions for structural gravity models in panels, pp. 55-67
  • GREKOU Carl - From nominal devaluations to real depreciations, pp. 68-81
  • GOURÈNE Grakolet Arnold Z., MENDY Pierre, N'GBO AKE Gilbert Marie - Multiple time-scales analysis of global stock markets spillovers effects in African stock markets, pp. 82-98
  • STOLBOV Mikhail - Is a more financially open world riskier?, pp. 99-116
  • BOURI Elie, JALKH Naji - Conditional quantiles and tail dependence in the volatilities of gold and silver, pp. 117-133
  • PHUC CANH Nguyen, SCHINCKUS Christophe, THANH Su Dinh - Do economic openness and institutional quality influence patents? Evidence from GMM systems estimates, pp. 134-169
  • CAVUSOGLU Nevin - The chain version of Heckscher-Ohlin theory correctly predicts U.S. trade flows!, pp. 170-178
  • CHARLES Amélie, DARNÉ Olivier - The accuracy of asymmetric GARCH model estimation, pp. 179-202
  • LAFFINEUR Catherine, GAZANIOL Alexandre - Foreign direct investment and wage dispersion: Evidence from French employer-employee data, pp. 203-226
( résumés du n° 1/2019)

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