Kamal, Mona (2010): التحقق من أثر التنسيق بين السياستين المالية والنقدية على الأهداف الاقتصادية باستخدام نموذج قياسي.
AMBA OYON, Claude Marius and Mbratana, Taoufiki (2018): Simultaneous Generalized Method of Moments Estimator for Panel Data Models with Spatially Correlated Error Components.
AMBA OYON, Claude Marius and Mbratana, Taoufiki (2017): Simultaneous equation models with spatially autocorrelated error components.
ANDRIAKOPOULOS, KONSTANTINOS and LADAS, AUGOUSTINOS and ANDRIAKOPOULOS, PANAGIOTIS (2020): Bank efficiency and leasing in U.S.A. banking system.
Abdul Karim, Zulkefly and Wan Ngah, Wan Azman Saini and Abdul Karim, Bakri (2010): Bank lending channel of monetary policy: dynamic panel data evidence from Malaysia.
Abdulnasser, Hatemi-J (2011): Hidden panel cointegration.
Accolley, Delali (2003): The Determinants and Impacts of Foreign Direct Investment.
Adenutsi, Deodat E. (2011): Do remittances alleviate poverty and income inequality in poor countries? Empirical evidence from sub-Saharan Africa.
Adha, Rishan and Hong, Cheng-Yih and Agrawal, Somya and Li, Li-Hua (2022): ICT, carbon emissions, climate change, and energy demand nexus: the potential benefit of digitalization in Taiwan. Published in: Energy & Environment journal No. 0958305X221093458 (13 April 2022)
Agarwal, Samiksha and Chakraborty, Lekha (2018): Who Bears the Corporate Tax Incidence? Empirical Evidence from India.
Agostino, Mariarosaria and Nifo, Annamaria and Trivieri, Francesco and Vecchione, Gaetano (2016): Total factor productivity heterogeneity: channelling the impact of institutions. Forthcoming in:
Ahmad, Mahyudin (2016): Middle income trap and income inequality: Empirical evidence on the distributional effect of economic liberalization and political regime.
Ahmed, Gulzar and Arshad Khan, Muhammad and Afzal, Muhammad (2015): Trade Liberalization and Industrial Productivity: Evidence from Pakistan.
Ahortor, Christian R.K. and Adenutsi, Deodat E. (2008): The impact of remittances on economic growth in small-open developing economies. Published in: Journal of Applied Sciences , Vol. 9, No. 18 (September 2009): pp. 3275-3286.
Aiello, Francesco and Demaria, Federica (2009): Do trade preferential agreements enhance the exports of developing countries? Evidence from the EU GSP.
Alali, Walid Y. (2010): Impact of Institutions and Policy on Economic Growth: Empirical Evidence.
Aldieri, Luigi and Aprile, Maria Carmela and Vinci, Concetto Paolo (2015): R&D Spillovers Effects on strategic behaviour of Large International Firms.
Alege, Philip and Ogundipe, Adeyemi (2013): The Role of Services Trade in Economic Development. Forthcoming in:
Alege, Phillip and George, Emmanuel and Ojeaga, Paul and Queen-Esther, Oluwatimiro (2015): Is Africa’s Current Growth Reducing Inequality? Evidence from Some Selected African Countries. Forthcoming in:
Alessandrini, Michele and Buccellato, Tullio and Scaramozzino, Pasquale (2008): Whither the Indian Federation? Regional Disparities and Economic Reforms.
Amavilah, Voxi Heinrich (2007): The effects of technology-as-knowledge on the economic performance of developing countries: An econometric analysis using annual publications data for Botswana, Namibia, and South Africa, 1976-2004.
Anastasiou, Dimitrios (2017): Macroeconomic Determinants of MIR Rate: Evidence from the Euro area.
Anastasiou, Dimitrios (2020): Senior bank loan officers' expectations for loan demand: Evidence from the Euro-area.
Ando, Tomohiro and Bai, Jushan (2021): Large-scale generalized linear longitudinal data models with grouped patterns of unobserved heterogeneity.
Ando, Tomohiro and Bai, Jushan (2018): Quantile co-movement in financial markets: A panel quantile model with unobserved heterogeneity.
Andrei, Tudorel and Iacob, Andreea Iluzia and Vlad, Liviu Bogdan (2007): Tendencies in the Romania's Regional Economic Development during the Period 1991-2004. Published in: Economic Computation and Economic Cybernetics Studies and Research , Vol. 41, No. 1-2/2007 (June 2007): pp. 107-119.
Andriakopoulos, Konstantinos and Kounetas, Konstantinos (2019): The impact of large lending on bank efficiency in U.S.A.
Antonakakis, Nikolaos and Chatziantoniou, Ioannis and Filis, George (2015): Energy Consumption, CO2 Emissions, and Economic Growth: A Moral Dilemma.
Antonakakis, Nikolaos and Collins, Alan (2014): Does Fiscal Consolidation Really Get You Down? Evidence from Suicide Mortality.
Antonakakis, Nikolaos and Collins, Alan (2016): A Suicidal Kuznets Curve?
Antonakakis, Nikolaos and Cunado, Juncal and Filis, George and Perez de Gracia, Fernando (2015): The Resource Curse Hypothesis Revisited: Evidence from a Panel VAR.
Apergis, Nicholas and Polemis, Michael (2018): Electricity supply shocks and economic growth across the US states: evidence from a time-varying Bayesian panel VAR model, aggregate and disaggregate energy sources.
Aristovnik, Aleksander (2006): The Determinants & Excessiveness of Current Account Deficits in Eastern Europe & the Former Soviet Union. Published in: Transformations in Business & Economics , Vol. 6, No. 11 (2007): pp. 32-52.
Aristovnik, Aleksander and Djurić, Sandra (2010): Twin deficits and the Feldstein-Horioka puzzle: a comparison of the EU member states and candidate countries.
Aritenang, Adiwan F. (2008): A Study on Indonesia Regions Disparity: Post Decentralization.
Athanasoglou, Panayiotis (2011): Bank capital and risk in the South Eastern European region.
Atif, Syed Muhammad and Srivastav, Mudit and Sauytbekova, Moldir and Arachchige, Udeni Kathri (2012): Globalization and Income Inequality: A Panel Data Analysis of 68 Countries.
Atoi, Ngozi Victor (2018): Non-performing Loan and its Effects on Banking Stability: Evidence from National and International Licensed Banks in Nigeria. Published in: Central Bank of Nigeria Journal of Applied Statistics , Vol. 9, No. 2 (1 December 2018): pp. 43-74.
BESSO, Christophe Raoul and FEUBI PAMEN, Eric Patrick (2016): Oil price shock and economic growth : Experience of CEMAC countries.
BIKAI, J. Landry and BATOUMEN M., Hardit and FOSSOUO, Armand (2016): Determinants of inflation in CEMAC: the role of money.
Bacci, Silvia and Bartolucci, Francesco and Pigini, Claudia and Signorelli, Marcello (2014): A finite mixture latent trajectory model for hirings and separations in the labor market.
Bada, Oualid and Kneip, Alois (2010): Panel Data Models with Unobserved Multiple Time- Varying Effects to Estimate Risk Premium of Corporate Bonds.
Baharumshah, Ahmad Zubaidi and Chan, Tze-Haw and Masih, A. Mansur A. (2005): Financial Integration of East Asian Economies: Evidence from Real Interest Parity.
Bai, Jushan and Wang, Peng (2024): Causal inference using factor models.
Bai, Jushan and Ando, Tomohiro (2013): Multifactor asset pricing with a large number of observable risk factors and unobservable common and group-specific factors.
Bai, Jushan and Carrion-i-Silvestre, Josep Lluis (2009): Testing Panel Cointegration with Unobservable Dynamic Common Factors.
Bai, Jushan and Li, Kunpeng (2012): Maximum likelihood estimation and inference for approximate factor models of high dimension.
Bai, Jushan and Li, Kunpeng (2017): Practical notes on panel data models with interactive effects.
Bai, Jushan and Li, Kunpeng (2013): Spatial panel data models with common shocks.
Bai, Jushan and Li, Kunpeng (2010): Theory and methods of panel data models with interactive effects.
Bai, Jushan and Liao, Yuan (2012): Efficient Estimation of Approximate Factor Models via Regularized Maximum Likelihood.
Bai, Jushan and Wang, Peng (2012): Identification and estimation of dynamic factor models.
Balaguer, Jacint and Ripollés, Jordi (2013): Asymmetric fuel price responses under heterogeneity.
Balli, Faruk and Basher, Syed Abul and Jean Louis, Rosmy (2011): Channels of risk-sharing among Canadian provinces: 1961--2006.
Ballinger, Clint (2011): Why inferential statistics are inappropriate for development studies and how the same data can be better used.
Balogun, Emmanuel Dele (2009): Alternative reconsideration of output growth differrential for the West African Monetary Zone.
Baltagi, Badi H. and Kao, Chihwa and Wang, Fa (2016): Estimating and testing high dimensional factor models with multiple structural changes.
Barja, Gover and Villarroel, Sergio and Zavaleta, David (2013): Institutional design and implicit incentives in Bolivia's decentralization model. Published in: Latin American Journal of Economic Development No. 19 (May 2013): pp. 137-211.
Barrios González, María Candelaria and Tierney, Heather L.R. and Nazarov, Zafar and Kim, Myeong Hwan (2019): Divided: The Two Americas-Examining Club Convergence in the U.S.
Bartolucci, Francesco and Farcomeni, Alessio and Pennoni, Fulvia (2012): Latent Markov models: a review of a general framework for the analysis of longitudinal data with covariates.
Bartolucci, Francesco and Giorgio E., Montanari and Pandolfi, Silvia (2012): Item selection by an extended Latent Class model: An application to nursing homes evaluation.
Bartolucci, Francesco and Grilli, Leonardo and Pieroni, Luca (2012): Estimating dynamic causal effects with unobserved confounders: a latent class version of the inverse probability weighted estimator.
Bartolucci, Francesco and Lupparelli, Monia (2012): Nested hidden Markov chains for modeling dynamic unobserved heterogeneity in multilevel longitudinal data.
Basher, Syed A. and Balli, Faruk and Louis, Rosmy (2009): Channels of risk-sharing among Canadian provinces: 1961–2006.
Basher, Syed A. and Fachin, Stefano (2008): The long-term decline of internal migration in Canada – Ontario as a case study.
Basher, Syed A. and Westerlund, Joakim (2006): Is there Really a Unit Root in the Inflation Rate? More Evidence from Panel Data Models. Forthcoming in: Applied Economics Letters
Basher, Syed A. and Westerlund, Joakim (2008): Panel Cointegration and the Monetary Exchange Rate Model.
Basher, Syed Abul and Carrion-i-Silvestre, Josep Lluis (2010): Measuring Persistence of U.S. City Prices: New Evidence from Robust Tests.
Basher, Syed Abul and Elsamadisy, Elsayed Mousa (2010): Country Heterogeneity and Long-Run Determinants of Inflation in the Gulf Arab States.
Batuo Enowbi, Michael and Kupukile, Mlambo (2012): Financial instability, financial openness and economic growth in african countries.
Bednarik, Radek and Filipova, Lenka (2009): The role of religion and political regime for human capital and economic development.
Behera, Smruti Ranjan Behera and Dua, Pami Dua and Goldar, Bishwanath Goldar (2012): Horizontal and Vertical Technology Spillover of Foreign Direct Investment: An Evaluation across Indian Manufacturing Industries.
Bellla, Gianni and Massidda, Carla and Etzo, Ivan (2010): A panel estimation of the relationship between income, electric power consumption and CO2 emissions.
Ben Jebli, Mehdi and Ben Youssef, Slim (2013): Combustible renewables and waste consumption, exports and economic growth: Evidence from panel for selected MENA countries.
Ben Jebli, Mehdi and Ben Youssef, Slim (2013): Economic growth and combustible renewables and waste consumption nexus in MENA countries.
Ben Jebli, Mehdi and Ben Youssef, Slim (2013): Economic growth, combustible renewables and waste consumption and emissions in North Africa.
Ben Jebli, Mehdi and Ben Youssef, Slim (2014): Economic growth, combustible renewables and waste consumption and emissions in North Africa. Published in: Environmental Science and Pollution Research , Vol. 22, No. 20 (26 October 2015): pp. 16022-16030.
Ben Jebli, Mehdi and Ben Youssef, Slim (2013): Energy consumption, output and trade nexus in North Africa.
Ben Jebli, Mehdi and Ben Youssef, Slim (2013): Output, renewable and non-renewable energy consumption and international trade: Evidence from a panel of 69 countries.
Ben Jebli, Mehdi and Ben Youssef, Slim (2013): Output, renewable and non-renewable energy consumption and international trade: Evidence from a panel of 69 countries.
Ben Jebli, Mehdi and Ben Youssef, Slim (2013): Output, renewable energy consumption and trade in Africa.
Ben Jebli, Mehdi and Ben Youssef, Slim (2015): Renewable Energy Consumption and Agriculture: Evidence for Cointegration and Granger causality for Tunisian Economy.
Ben Jebli, Mehdi and Ben Youssef, Slim (2015): The role of renewable energy and agriculture in reducing CO2 emissions: evidence for North Africa countries.
Ben Jebli, Mehdi and Ben Youssef, Slim and Apergis, Nicholas (2014): The Dynamic Linkage between CO2 emissions, Economic Growth, Renewable Energy Consumption, Number of Tourist Arrivals and Trade.
Ben Jebli, Mehdi and Ben Youssef, Slim and Ozturk, Ilhan (2013): The Environmental Kuznets Curve: The Role of Renewable and Non-Renewable Energy Consumption and Trade Openness.
Ben Jebli, Mehdi and Ben Youssef, Slim and Ozturk, Ilhan (2014): The Role of Renewable Energy Consumption and Trade: Environmental Kuznets Curve Analysis for Sub-Saharan Africa Countries.
Ben Zina, Tarek and Ben Zina, Naceur (2006): Complementarity or substitutability between private and public investment in R&D: An empirical study.
Berg, Tim Oliver (2010): Cross-country evidence on the relation between stock prices and the current account.
Berg, Tim Oliver (2010): Exploring the international transmission of U.S. stock price movements.
Besana, Angela (2009): Applied arts and design in museums: USA and Milan experience.
Bianco, Madga and Golinelli, Roberto and Parigi, Giuseppe (2009): Family firms and investments.
Bikash Ranjan Mishra, Dr. (2011): Spill-over effects of foreign direct investment: an econometric study of Indian firms.
Bilgili, Faik (2010): Energy tax harmonization in EU: Time series and panel data evidence. Published in: Research Journal of International Studies No. 14 (May 2010): pp. 12-20.
Bilgili, Faik and Pamuk, Yalçın and Halıcı Tülüce, Nadide Sevil (2010): Short run and long run dynamics of residential electricity consumption: Homogeneous and heterogeneous panel estimations for OECD. Published in: Economic Computation and Economic Cybernetics Studies and Research No. 3/2011 (August 2011): pp. 113-126.
Biorn, Erik and Godager, Geir (2008): Does quality influence choice of general practitioner? An analysis of matched doctor-patient panel data. Published in: , Vol. 2008-3, No. HERO Working Paper (May 2008)
Biorn, Erik and Hagen, Terje P. and Iversen, Tor and Magnussen, Jon (2006): Heterogeneity in Hospitals' Responses to a Financial Reform: A Random Coefficient Analysis of The Impact of Activity-Based Financing on Efficiency. Published in: HERO Working Paper No. 2006:9 (2006): pp. 1-34.
Bodha Hannadige, Sium and Gao, Jiti and Silvapulle, Mervyn and Silvapulle, Param (2021): Time Series Forecasting using a Mixture of Stationary and Nonstationary Predictors.
Bonga, Wellington G. and Mahuni, Kenneth (2018): Assessing the Impact of Ease of Doing Business and Corruption on Economic Growth for Africa Free Trade Zone (AFTZ) Member States.
Bontempi, Maria Elena and Mammi, Irene (2012): A strategy to reduce the count of moment conditions in panel data GMM.
Bouallegui, Imen (2006): Capital structure determinants and the new High-Tech firms: The critical distinction between fixed and random effects through a static panel data investigation.
Bournakis, Ioannis and Ramirez-Rondan, Nelson R. (2022): Does uncertainty matter for the fiscal consolidation and capital intensity nexus?
Breusch, Trevor and Ward, Michael B. and Nguyen, Hoa and Kompas, Tom (2010): On the fixed-effects vector decomposition. Forthcoming in: Political Analysis
Brian A., Jingwa and Simplice A., Asongu (2012): The Role of Human Development on Deforestation in Africa: A Modelling-Based Approach.
COULIBALY, Niénéyéri Mamadou (2023): Trade Between WAEMU And EU Countries Ante-Brexit : Lessons From A Gravity Model. Published in: African Scientific Journal , Vol. 03, No. 20 (20 November 2023): pp. 1099-1119.
Cagnone, Silvia and Bartolucci, Francesco (2013): Adaptive quadrature for likelihood inference on dynamic latent variable models for time-series and panel data.
Camacho-Gutiérrez, Pablo and González-Cantú, Vanessa M. (2007): Moral hazard in a voluntary deposit insurance system: Revisited.
Canavire Bacarreza, Gustavo Javier and Ehrlich, Laura (2006): The Impact of Migration on Foreign Trade: A Developing Country Approach. Published in: Latin American Journal of Economic Development No. No. 6 (April 2006): pp. 125-146.
Caruso, Raul (2011): International Relative Prices and Civil Wars in Sub-Saharan Africa. Theory and Evidence over the period (1995-2006).
Carvelli, Gianni and Trecroci, Carmine (2021): Is government debt good or bad for labor productivity? A dynamic panel analysis over 1972-2019.
Castagnetti, Carolina and Rossi, Eduardo (2008): Estimation methods in panel data models with observed and unobserved components: a Monte Carlo study.
Castellacci, Fulvio and Natera, Jose Miguel (2011): A new panel dataset for cross-country analyses of national systems, growth and development (CANA). Forthcoming in:
Cerro, Ana María and Ortega, Ana Carolina (2012): Sources of Regional Crime Persistence Argentina 1980-2008.
Cerro, Ana María and Rodríguez Andrés, Antonio (2011): Typologies of Crime in the Argentine Provinces. A Panel Study 2000-2008.
Chakraborty, K.S and krishnankutty, Raveesh (2012): Education and Economic Growth in India.
Chakraborty, Lekha S (2006): Determining Environmental Quality in a Federal Setting: An Empirical Analysis of Subnational Governments in India.
Chakraborty, Lekha S and Elson, Diane and Chowdhury, Samik (2004): Fiscal Policy Stance and Gender Equality in Asia Pacific: An Empirical Analysis.
Chakraborty, Lekha S and Sinha, Darshy (2006): Determinants of Declining Child Sex Ratio in India: An Empirical Investigation.
Chan, Tze-Haw and Baharumshah, Ahmad Zubaidi (2012): Financial Integration between China and Asia Pacific Trading Partners: Parities Evidence from the First- and Second-generation Panel Tests.
Chang, Ming Jen and Lin, Chang Ching and Yin, Shou-Yung (2011): The behavior of real exchange rates: the case of Japan.
Charles, Coleman (2003): Loss Functions for Detecting Outliers in Panel Data: An Introduction. Published in: The 13th Federal Forecasters Conference - 2003: Papers and Proceedings No. 2003 (2003): pp. 265-273.
Chau, Tak Wai (2013): Is the Use of Autocovariances in Level the Best in Estimating the Income Processes? A Simulation Study.
Chen, Liang and Dolado, Juan Jose and Gonzalo, Jesus (2011): Detecting big structural breaks in large factor models.
Cheratian, Iman and Goltabar, Saleh (2017): Energy Consumption and Regional Economic Growth: The Case of Iranian Manufacturing Sector.
Chhorn, Theara (2017): On the Investigation of Factors Effecting International Tourist Arrivals to Cambodian Market: A Static and Dynamic Gravity Approach. Published in: Southeast Asian Journal of Economics , Vol. 5, No. 2 (December 2017): pp. 115-138.
Chhorn, Theara (2017): Spatial Linkage of Technological Progress, ICT base and Economic Output in CLMV Region.
Chhorn, Theara and Chhorn, Dina (2017): Modelling Linkage of Globalization and Financial Development to Human Development in CLMV Region.
Chong, Terence Tai Leung and Yan, Isabel K. (2014): Estimating and Testing Threshold Regression Models with Multiple Threshold Variables.
Chu, Ba (2017): Composite Quasi-Likelihood Estimation of Dynamic Panels with Group-Specific Heterogeneity and Spatially Dependent Errors.
Combey, Adama (2016): Private Consumption in The WAEMU Zone: Does Interest Rates Matter?
Comunale, Mariarosaria (2014): Euro-dollar polarization and heterogeneity in exchange rate pass-throughs within the euro zone.
Concas, Sisinnio (2012): Highway capital expenditures and induced vehicle travel.
Cosemans, M. and Frehen, R.G.P. and Schotman, P.C. and Bauer, R.M.M.J. (2009): Efficient Estimation of Firm-Specific Betas and its Benefits for Asset Pricing Tests and Portfolio Choice.
Craigwell, Roland and Wright, Allan S (2011): Foreign Direct Investment and Corruption in Developing Economies: Evidence form Linear and Non-Linear Panel Causality Tests. Forthcoming in:
Crippa, Andrea and d'Agostino, Giorgio and Dunne, Paul and Pieroni, Luca (2022): Conflict as a Cause of Migration.
Cui, Guowei and Sarafidis, Vasilis and Yamagata, Takashi (2020): IV Estimation of Spatial Dynamic Panels with Interactive Effects: Large Sample Theory and an Application on Bank Attitude Toward Risk.
D'Agostino, Antonello and McQuinn, Kieran and O'Brien, Derry (2011): Nowcasting Irish GDP.
DO ANGO, Simplicio and AMBA OYON, Claude Marius (2016): Health expenditure and Real disposable Income in the ECCAS: A Causal Study using spatial panel approach. Published in: International Journal of Economics, Commerce and Management , Vol. 04, No. 08 (2016): pp. 65-85.
Dagher, Leila and Bird, Lori and Heeter, Jenny (2016): Residential Green Power Demand in the United States. Published in: Renewable Energy , Vol. 114, (2017): pp. 1062-1068.
Damiano, Fiorillo and Lubrano Lavadera, Giuseppe and Nappo, Nunzia (2017): Individual heterogeneity in the association between social participation and self-rated health. A panel study on BHPS.
Das, Debasish Kumar (2012): Determinants of current account imbalances in the global economy: A dynamic panel analysis.
Delis, Manthos D (2008): Competitive conditions in the Central and Eastern European banking systems.
Delis, Manthos D and Iftekhar, Hasan and Tsionas, Efthymios (2012): On the estimation of the risk of financial intermediaries.
Delis, Manthos D and Tran, Kien and Tsionas, Efthymios (2009): Quantifying and explaining parameter heterogeneity in the capital regulation-bank risk nexus.
Delis, Manthos D and Tsionas, Efthymios (2012): A new method to estimate the risk of financial intermediaries.
Deluna, Roperto Jr and Darius, Artigo (2014): Analysis of Pull-Factor Determinants of Filipino International Migration.
Deluna, Roperto Jr and Jeon, Narae (2014): Determinants of International Tourism Demand for the Philippines: An Augmented Gravity Model Approach.
Demir, Firat (2008): Financial Liberalization, Private Investment and Portfolio Choice: Financialization of Real Sectors in Emerging Markets. Forthcoming in: Journal of Development Economics
Demir, Firat (2007): Private Investment and Cash Flow Relationship Revisited: Capital Market Imperfections and Financialization of Real Sectors in Emerging Markets.
Demir, Firat (2006): Volatility of short term capital flows, financial anarchy and private investment in emerging markets.
Di Iorio, Francesca and Fachin, Stefano (2010): A Panel Cointegration study of the long-run relationship between Savings and Investments in the OECD economies, 1970-2007.
Di Iorio, Francesca and Fachin, Stefano (2008): A note on the estimation of long-run relationships in dependent cointegrated panels.
Dickinson, Jeffrey (2020): Planes, trains, and automobiles: what drives human-made light?
Dickinson, Jeffrey (2020): Planes, trains, and automobiles: what drives human-made light?
Dinda, Soumyananda (2006): EKC: Static or Dynamic? Published in: International Journal of Global Environmental Issues , Vol. 9, No. 1&2 (2009): pp. 84-88.
Dinda, Soumyananda (2015): Impact of China’s slowdown on the Global Economy: Modified GVAR Approach.
Dinda, Soumyananda and Coondoo, Dipankor (2001): Income and Emission: A Panel Data based Cointegration Analysis. Published in: Ecological Economics , Vol. 57, No. 2 (15 May 2006): pp. 167-181.
Dinçer, Gönül (2014): Turkey’s Rising Imports from BRICS: A Gravity Model Approach. Forthcoming in: Proceedings of the New York State Economics Association No. 67th Annual Conference 2014
Distante, Roberta (2010): Subjective well-being, income and relative concerns in the UK.
Djemaci, Brahim (2016): Forecast future production of municipal waste on the basis of a panel data model in Algeria.
Doumbia, Djeneba (2015): Financial development and economic growth: Evidence of non-linearity.
Drago, Carlo and Millo, Francesco and Ricciuti, Roberto and Santella, Paolo (2014): Corporate Governance Reforms, Interlocking Directorship and Company Performance in Italy. Forthcoming in: International Review of Law and Economics
Dramani, Latif and Laye, Oumy (2007): Impact du Commerce bilatéral Intra-Zone dans la zone UEMOA et CEMAC: Approche par les VAR Structurels.
Drichoutis, Andreas and Nayga, Rodolfo and Lazaridis, Panagiotis and Park, Beom Su (2010): A consistent econometric test for bid interdependence in repeated second-price auctions with posted prices.
Drichoutis, Andreas C. and Nayga, Rodolfo M. and Rouse, Heather L. and Thomsen, Michael R. (2014): Food environment and childhood obesity: The effect of dollar stores.
Drichoutis, Andreas C. and Nayga, Rodolfo M. and Rouse, Heather L. and Thomsen, Michael R. (2014): Food environment and childhood obesity: The effect of dollar stores.
Dridi, Jemma and Nguyen, Anh D. M. (2017): Inflation Convergence In East African Countries.
Drivas, Kyriakos and Economidou, Claire and Karkalakos, Sotiris and Tsionas, Efthymios G. (2014): Mobility of Knowledge and Local Innovation Activity.
Drivas, Kyriakos and Economidou, Claire and Tsionas, Efthymios G. (2014): A Poisson Stochastic Frontier Model with Finite Mixture Structure.
Duran-Vazquez, Rocio and Lorenzo-Valdes, Arturo and Ruiz-Porras, Antonio (2011): Valuation of Latin-American stock prices with alternative versions of the Ohlson model: An investigation of cointegration relationships with time-series and panel-data. Forthcoming in: Espinosa-Ramirez, R. (coord.), "Topics on International Economic Relations", Universidad de Guadalajara, México
Duran-Vazquez, Rocio and Lorenzo-Valdes, Arturo and Ruiz-Porras, Antonio (2011): Valuation of Latin-American stock prices with alternative versions of the Ohlson model: An investigation of cointegration relationships with time-series and panel-data. Forthcoming in: Espinosa-Ramirez, R. (coord.), "Topics on International Economic Relations", Universidad de Guadalajara, México
Dyasi, Poopy and Phiri, Andrew (2019): A sectoral approach to the electricity-growth nexus in the Eastern Cape province of South Africa.
Eberhardt, Markus and Bond, Stephen (2009): Cross-section dependence in nonstationary panel models: a novel estimator.
Eberhardt, Markus and Teal, Francis (2009): Analysing Heterogeneity in Global Production Technology and TFP: The Case of Manufacturing.
Eberhardt, Markus and Teal, Francis (2009): Econometrics for Grumblers: A New Look at the Literature on Cross-Country Growth Empirics.
Effiong, Ekpeno (2016): Urbanization and Environmental Quality in Africa.
Effiong, Ekpeno and Esu, Godwin and Chuku, Chuku (2017): Financial Development and Monetary Policy Effectiveness in Africa.
Effiong, Ekpeno and Oisaozoje, Alex (2016): Let the Data Speak: Revisiting the Environmental Kuznets Curve in Africa.
Eita, Joel Hinaunye and Jordaan, Andre C. (2007): ESTIMATING THE TOURISM POTENTIAL IN NAMIBIA.
Eita, Joel Hinaunye and Khumalo, Zitsile Zamantungwa and Choga, Ireen (2020): Empirical test of the Balassa-Samuelson Effect in Selected African Countries.
Eita, Joel Hinaunye and Khumalo, Zitsile Zamantungwa and Choga, Ireen (2020): Empirical test of the Balassa-Samuelson effect in selected African countries.
Ekinci, Mehmet Fatih (2020): Macroprudential Policies and Current Account Balance.
Ekinci, Mehmet Fatih and Omay, Tolga (2019): Current Account and Credit Growth: The Role of Household Credit and Financial Depth.
Ekpo, Akpan H. and Effiong, Ekpeno L. (2017): Openness and the Effects of Monetary Policy in Africa.
El Weriemmi, Malek and Bakari, Sayef (2024): The Impact of CO2 Emissions, Domestic Investment and Trade Openness on Economic Growth: New Evidence from North African Countries.
Elrod, Terry and Keane, Michael (1995): A Factor-Analytic Probit Model for Representing the Market Structure in Panel Data. Published in: Journal of Marketing Research , Vol. 32, (February 1995): pp. 1-16.
Elveren, Adem Yavuz and Dunning, Rachel (2017): Do Military Expenditures Boost Profit Rates?
Emara, Noha (2015): Fertility and Female Employment: A Panel Study on Developing Countries.
Embaye, Abel (2007): Underground economy estimates for non-OECD countries using currency demand method, 1984-2005.
Enami, Ali (2016): Determinants of Child Mortality in Africa: A Methodological Discussion.
Enowbi Batuo, Michael and Fabro, Gema (2009): Economic Development, Institutional Quality and Regional integration: Evidence from Africa Countries.
Erdogdu, Erkan (2010): Electricity Market Reform: Lessons for developing countries.
Escobari, Diego (2017): Airport, airline and departure time choice and substitution patterns: An empirical analysis. Forthcoming in: Transportation Research Part A: Policy and Practice
Escobari, Diego and Lee, Jim (2013): Demand Uncertainty and Capacity Utilization in Airlines. Forthcoming in: Empirical Economics
Esiyok, Bulent (2011): Determinants of foreign direct investment in Turkey: a panel study approach.
FENDRI ZOUARI, Nawel and NEIFAR, MALIKA (2020): Loan loss provisions under regulatory pressure: public versus private banks in Tunisia.
Falch, Torberg and Fischer, Justina A.V. (2014): Welfare state generosity and student performance: Evidence from international student tests.
Falch, Torberg and Fischer, Justina AV (2010): Public sector decentralization and school performance: International evidence.
Falch, Torberg and Fischer, Justina AV (2011): Welfare state generosity and student performance: Evidence from international student tests.
Falch, Torberg and Justina, Fischer (2016): Welfare state generosity and student performance: Evidence from international student tests 1980-2003.
Fantazzini, Dean and Kolesnikova, Anna (2021): Asymmetry and hysteresis in the Russian gasoline market: the rationale for green energy exports. Forthcoming in: Energy Policy (2021)
Ferman, Bruno (2019): Inference in Differences-in-Differences: How Much Should We Trust in Independent Clusters?
Ferman, Bruno and Pinto, Cristine (2015): Inference in Differences-in-Differences with Few Treated Groups and Heteroskedasticity.
Ferman, Bruno and Pinto, Cristine and Possebom, Vitor (2018): Cherry Picking with Synthetic Controls.
Fingleton, Bernard (2018): Exploring Brexit with dynamic spatial panel models : some possible outcomes for employment across the EU regions.
Fingleton, Bernard and Fischer, Manfred M. (2010): Neoclassical Theory versus New Economic Geography. Competing explanations of cross-regional variation in economic development. Published in: Annals of Regional Science , Vol. 44, No. 3 (2010): pp. 467-491.
Fischer, Justina A.V. (2013): Globalization, female employment, and regional differences in OECD countries.
Fischer, Justina A.V. and Somogyi, Frank (2012): Globalization and protection of employment.
Fischer, Justina AV (2010): Accounting for Unobserved Country Heterogeneity in Happiness Research: Country Fixed Effects versus Region Fixed Effects.
Fischer, Justina AV (2009): Subjective Well-Being as Welfare Measure: Concepts and Methodology.
Fischer, Justina AV and Aydıner-Avşar, Nursel (2015): Are women in the MENA region really that different from women in Europe? Globalization, conservative values and female labor market participation.
Fischer, Justina AV and Somogyi, Frank (2009): Globalization and Protection of Employment.
Fuerst, Franz (2007): Office Rent Determinants: A Hedonic Panel Analysis.
Fulvio, Castellacci and Jose Miguel, Natera (2011): The dynamics of national innovation systems: a panel cointegration analysis of the coevolution between innovative capability and absorptive capacity.
Gao, Song (2010): Impacts of Restructurings on Manufacturing Productive Efficiency: Evidence from China.
Gaudeul, Alexia and Giannetti, Caterina (2011): The role of reciprocation in social network formation, with an application to blogging.
Genge, Ewa and Bartolucci, Francesco (2019): Are attitudes towards immigration changing in Europe? An analysis based on bidimensional latent class IRT models.
Georgiadis, Georgios (2012): The panel conditionally homogenous vectorautoregressive model.
Geweke, John and Houser, Dan and Keane, Michael (1999): Simulation Based Inference for Dynamic Multinomial Choice Models. Published in: Companion to Theoretical Econometrics No. Blackwell (2001): pp. 466-493.
Ghosh, Saibal (2010): The dividend strategy of Indian companies: An empirical assessment. Published in: Artha Vijnana , Vol. 52, No. 2 (June 2010)
Gitto, Lara and Minervini, Leo Fulvio and Monaco, Luisa (2012): University dropouts: supply-side issues in Italy.
González-Val, Rafael and Olmo, Jose (2014): Growth in a Cross-Section of Cities: Location, Increasing Returns or Random Growth?
Gretszel, Piotr and Gurgul, Henryk and Lach, Łukasz and Schleicher, Stefan (2020): Testing for economic and environmental impacts of EU Emissions Trading System: A panel GMM approach.
Ha, Wei and Yi, Junjian and Zhang, Junsen (2009): Internal Migration and Income Inequality in China: Evidence from Village Panel Data.
Halkos, George and Polemis, Michael (2016): Examining the impact of financial development on the environmental Kuznets curve hypothesis.
Halpin, Brendan and Hill, John (2008): Active Labour Market Programmes and Poverty Dynamics in Ireland. Published in: Combat Poverty Agency Research Working Papers , Vol. 5, No. August (August 2008)
Hanousek, Jan and Shamshur, Anastasiya and Tresl, Jiri (2019): Firm efficiency, foreign ownership and CEO gender in corrupt environments. Published in: Journal of Corporate Finance , Vol. 59, (December 2019): pp. 344-360.
Hansen, Christian and Liao, Yuan (2016): The Factor-Lasso and K-Step Bootstrap Approach for Inference in High-Dimensional Economic Applications.
Haouat, Meriem and Moccero, Diego Nicolas and Sosa Navarro, Ramiro (2010): Foreign Banks and Credit Volatility: The Case of Latin American Countries.
Hasan, Mohammad Monirul (2010): Does credit improve the food consumption vulnerability of the extreme poor? - Empirical evidence from Bangladesh.
Hassan, Gazi (2010): Remittances and Poverty: Panel Evidence from High Remittance Economies.
Hassan, Gazi and Wu, Eliza (2012): Sovereign country rating, growth volatility and financial crisis.
Hassan, Rubina and Mirza, M. Shahzad (2005): Education Inequality and Economic Growth: Framework for the Evaluation of Pakistan’s Education Policy. Published in: International Journal of Human Development , Vol. Volume, No. January-June 2007, No.1 : pp. 37-60.
Hempstead, Dr. Katherine and Andres, Dr. Antonio Rodriguez (2009): Gun control and suicide: The impact of state firearm regulations, 1995-2004.
Hidayat, Budi and Thabrany, Hasbullah (2010): Cigarette smoking in Indonesia: examination of a myopic model of addictive behaviour. Published in: International Journal of Environmental Research and Public Health , Vol. 7, No. 6 (4 June 2010): pp. 2473-2485.
Hlongwane, Nyiko Worship and Daw, Olebogeng David (2022): Electricity consumption and population growth in South Africa: A panel approach.
Holtermann, Linus and Hundt, Christian (2018): Hierarchically structured determinants and phase-related patterns of economic resilience – An empirical case study for European regions.
Holtermann, Linus and Rische, Marie-Christin (2020): The Subnational Effect of Temperature on Economic Production: A Disaggregated Analysis in European Regions.
Hundt, Christian and Holtermann, Linus and Steeger, Jonas and Bersch, Johannes (2019): Cluster externalities, firm capabilities, and the recessionary shock: How the macro-to-micro-transition shapes firm performance during stable times and times of crisis.
Husain, Zakir (2005): Analysing demand for primary education: Slum dwellers of Kolkata. Published in: Economic and Political Weekly , Vol. XL, No. 2 (8 January 2005): pp. 137-147.
Husain, Zakir and Dutta, Mousumi and Chowdhary, Nidhi (2013): Is health wealth? Results of a panel data analysis. Forthcoming in: Social Indicators Research
Huynh, Linh and Hoang, Hien and Tran, Hung (2020): Does FDI enhance provincial productivity? A panel data analysis in Vietnam. Published in: Journal of the Asia Pacific Economy , Vol. 28, No. 3 (August 2023): pp. 1174-1195.
INSEL, Aysu and TEKCE, Mahmut (2010): Econometric Analysis of the Bilateral Trade Flows in the Gulf Cooperation Council Countries.
INSEL, Aysu and TEKCE, Mahmut (2010): Econometric analysis of the bilateral trade flows in the Gulf Cooperation Council countries.
Idrees, Sahar and Qayyum, Abdul (2018): The Impact of Financial Distress Risk on Equity Returns: A Case Study of Non-Financial Firms of Pakistan Stock Exchange.
Ilmolelian, Peter (2005): The determinants of the Harare Stock Exchange (HSE) market capitalisation. Published in: EconPapers No. http://econpapers.repec.org/paper/wpawuwpem/0511016.htm
Iritani, Satoko (2018): Livestock holdings during and after 2011 drought in Ethiopia: Heterogeneous responses and livestock types.
Islam, Asadul (2010): Medium and Long-Term Participation in Microcredit: An Evaluation Using a New Panel Dataset from Bangladesh.
Janda, Karel and Quarshie, Gregory (2017): Modelling Natural Resources, Oil and Economic Growth in Africa.
Jeruzalski, Tomasz and Tyrowicz, Joanna (2009): (In)Efficiency of Matching - The Case of A Post-transition Economy.
Jong, Meng-Chang (2020): Empirical Review on Tourism Demand and COVID-19.
Jong, Meng-Chang and Soh, Ann-Ni (2021): Responsible Recovery from COVID-19: An Empirical Overview of Tourism Industry.
Josheski, Dushko and Lazarov, Darko and Koteski, Cane (2011): Analysis of the optimal size of the government consumption.
Juan Marcelo, Ochoa (2006): An Interpretation of An Affine Term Structure Model for Chile. Forthcoming in: Revista de Estudios de Economia (2006)
Juodis, Arturas and Karavias, Yiannis and Sarafidis, Vasilis (2020): A Homogeneous Approach to Testing for Granger Non-Causality in Heterogeneous Panels.
Juodis, Arturas and Sarafidis, Vasilis (2020): Online Supplement to An Incidental Parameters Free Inference Approach for Panels with Common Shocks.
Jäckle, Robert and Himmler, Oliver (2007): Health and Wages - Panel data estimates considering selection and endogeneity.
Kagochi, John and Durmaz, Nazif (2021): Determinants of Intra-SSA Tourism Demand.
Kahia, Montassar and Ben Aissa, Mohamed Safouane (2014): Renewable and non-renewable energy consumption and economic growth: Evidence from MENA Net Oil Importing Countries. Published in:
Kalyoncu, Kahraman and Kalyoncu, Huseyin (2002): An Empirical Work On Catch Up By The Diffusion Of Technology. Published in: Pakistan Journal of Applied Sciences , Vol. 2, No. 6 (2002): pp. 667-669.
Kang, Lili and Peng, Fei (2012): Selection and Real wage cyclicality: Germany Case.
Kaplan, Emin Ahmet and Erul, Rana Dayıoğlu (2019): The Problem of Global Turmoil in The Dilemma of Globalization-Multilateralism: Long-Term Interactions Between Democracy and Economy within The Framework of Political Regimes.
Karahasan, Burhan Can (2009): Financial Liberalization and Regional Impacts on Entrepreneurial Behavior in Turkey.
Karan Singh, B (2011): Impact of adverse economic shocks on the Indian child labour market and the schooling of children of poor households.
Kausar, Rabia and Qayyum, Abdul (2018): How Cash Flow News and Discount Rate News Impact the Unexpected Stock Returns of Energy Firms of Pakistan.
Keane, Michael (1993): Simulation estimation for panel data models with limited dependent variables. Published in: Handbook of Statistics , Vol. 11, (1993): pp. 545-571.
Kebewar, mazen (2013): Does debt affect profitability? An empirical study of French trade sector.
Kebewar, mazen (2012): The effect of debt on corporate profitability: Evidence from French service sector. Published in: Brussels Economic Review , Vol. 56, No. 1 (2013)
Khan, Mashrur Mustaque and Akbar, Mashfique Ibne (2013): The Impact of Political Risk on Foreign Direct Investment.
Khan, Rana Ejaz Ali and Nawaz, Muhammad Atif and Hussain, Altaf (2011): Impact evaluation of structural adjustment program: a case of Pakistan. Published in: European Journal of Economics, Finance and Administrative Sciences No. 29 (2011): pp. 1450-2275.
Khayyat, Nabaz T. and Lee, Jongsu and Lee, Jeong-Dong (2014): How ICT Investment Influences Energy Demand in South Korea and Japan?
Khorunzhina, Natalia (2011): Dynamic Stock Market Participation of Households.
Khumalo, Zitsile Zamantungwa and Eita, Joel Hinaunye and Choga, Ireen (2020): An Empirical Test of Real Exchange Rate Overshooting in Selected African Countries.
Kirikkaleli, Dervis and Sokri, Abderrahmane and Candemir, Mehmet and Ertugrul, Hasan Murat (2017): Panel cointegration: Long-run relationship between internet, electricity consumption and economic growth. Evidence from OECD countries. Published in: Investigación económica , Vol. 303, No. 77 (1 March 2018): pp. 161-176.
Kolesnikova, Irina (2010): State Aid for Industrial Enterprises in Belarus: Remedy or Poison?
Koop, Gary and Korobilis, Dimitris (2014): Model Uncertainty in Panel Vector Autoregressive Models.
Korobilis, Dimitris (2015): Prior selection for panel vector autoregressions.
Kox, Henk L.M. and Rojas-Romagosa, Hugo (2020): How Trade and Investment Agreements Affect Bilateral Foreign Direct Investment: Results from a Structural Gravity Model.
Kuikeu, Oscar (2021): The Cyclicity and the contra cyclicity of the economic affairs in CEMAC Community under the Covid-19: an assessment with Panel VAR.
Kuikeu, Oscar (2012): Estimating the real exchange rate misalignment : case of Gabon.
Kuikeu, Oscar (2012): Estimating the real exchange rate misalignment : case of the cfa franc zone.
Kuikeu, Oscar (2022): Export performance and productivity: Rationale for a macro level evidence in Economic Community of Central African States (ECCAS). Case of AFCON 2021.
Kuikeu, Oscar (2021): Lessons from the covid-19 crisis about living standard determinants: a dynamic panel data perspective. Case of economies of central African economic and Monetary community (CEMAC).
Kuikeu, Oscar (2013): Real Exchange Rate Misalignment in the cfa franc zone after the cfa franc devaluation of January 1994.
Kukenova, Madina and Monteiro, Jose-Antonio (2008): Spatial Dynamic Panel Model and System GMM: A Monte Carlo Investigation.
Kukenova, Madina and Monteiro, Jose-Antonio (2008): Spatial Dynamic Panel Model and System GMM: A Monte Carlo Investigation.
Kumar, Nitin and Sensarma, Rudra (2017): Efficiency of Micro Finance Institutions in India: A Stochastic Distance Function Approach. Published in: Journal of Emerging Market Finance , Vol. 16, No. 2 (2017): pp. 151-168.
Kumar, Saten and Chowdhury, Mamta and Rao, B. Bhaskara (2010): Demand for Money in the Selected OECD Countries: A Time Series Panel Data Approach and Structural Breaks.
Kundu, AMIT (2014): Effectiveness of Mahatma Gandhi National Rural Employment Guarantee Programme (MGNREGP) to Check Migration among the Rural Households. Published in: Journal of Rural Development , Vol. 34, No. April-June 2015 (30 June 2015): pp. 123-133.
LIEBERMANN, JOELLE (2012): Real-time forecasting in a data-rich environment.
Labintan, Adeniyi Constant (2010): Evaluation of The Necessary of Agriculture Public Expenditure for Poverty Reduction and Food Security in Benin.
Lanzafame, Matteo (2012): Current account sustainability in advanced economies.
Leitão, Nuno Carlos (2012): Bank credit and economic growth.
Lenarčič, Črt (2022): Drivers of household arrears: an euro area country panel data analysis.
Lenarčič, Črt and Papadopoulos, Georgios (2020): Determinants of firm investment: Evidence from Slovenian firm-level data.
Leung, Charles Ka Yui and Chow, Kenneth and Yiu, Matthew and Tam, Dickson (2010): House Market in Chinese Cities: Dynamic Modeling, In-Sampling Fitting and Out-of-Sample Forecasting.
Lewis, Paul and Peng, Fei (2012): Baumol and the post-industrial trilemma: examining the relationship between productivity, prices and wages.
Li, KW and Pang, Iris A.J. and Ng, Michael C.M. (2007): Can Performance of Indigenous Factors Influence Growth and Globalisation?".
Li, Kui-Wai (2012): Analyzing the Kuznets Relationship using Nonparametric and Semiparametric Methods. Published in: CIRJE Discussion Paper No. CIRJE-F-839 (January 2012)
Li, Kui-Wai and Pang, Iris A J and Ng, Michael C M (2007): Can Performance of Indigenous Factors Influence Growth and Globalization? Published in:
Li, Kui-Wai and Zhou, Xianbo (2008): The Commutative Effect and Casuality of Openness and Indigenous Factors Among World Economies. Published in:
Li, Kunpeng (2018): Spatial panel data models with structural change.
Li, Kunpeng and Lu, Lina (2014): Efficient estimation of heterogeneous coefficients in panel data models with common shock.
Li, Qi and Sarafidis, Vasilis and Westerlund, Joakim (2020): Essays in Honor of Professor Badi H Baltagi: Editorial.
Liebermann, Joelle (2010): Real-time nowcasting of GDP: Factor model versus professional forecasters.
Lifshits, Marina (2011): Migration in the global world: economical and demographical roles and prospects for Russia. Published in: International Migration of Population: Challenges of Globalization / Scientific Series “International Migration of Population: Russia and the Contemporary World” , Vol. 24, No. 978–5-7218-1009-1 (2011): pp. 24-33.
Liu, Kai and Poplawski-Ribeiro, Marcos (2015): Short- and Long-Run Fiscal Elasticities: International Evidence.
Lof, Matthijs and Malinen, Tuomas (2013): Does sovereign debt weaken economic growth? A Panel VAR analysis.
Lorde, Troy and Alleyne, Antonio and Hosein, Roger and Yifei, Mu (2019): Should the Caribbean Look to the East? An Assessment of Caribbean Export Potential. Forthcoming in: The International Trade Journal
Lorde, Troy and Francis, Brian and Skeete, Stephney (2008): Are Shocks to Barbados Long-Stay Visitor Arrivals Permanent or Temporary: A Short Empirical Note. Published in: Journal of Public Sector Policy Analysis , Vol. 3, (2009): pp. 3-19.
Lorde, Troy and Moore, Winston (2006): Co-movement in tourist arrivals in the Caribbean. Published in: Tourism Economics , Vol. 14, No. 3 (2008): pp. 631-643.
M N, Nikhil and Chakraborty, Suman and B M, Lithin and Lobo, Lumen Shawn (2023): Does the adoption of Ind AS affect the performance of firms in India? Published in: Investment Management and Financial Innovations , Vol. 20, No. 2 (8 May 2023): pp. 171-181.
M N, Nikhil and S Shenoy, Sandeep and Chakraborty, Suman and B M, Lithin (2023): Does the Ind AS moderate the relationship between capital structure and firm performance? Published in: Journal of Corporate Accounting & Finance , Vol. 1, No. 35 (8 November 2023): pp. 1-15.
M N, Nikhil and S Shenoy, Sandeep and Chakraborty, Suman and B M, Lithin (2023): Is the Nexus Between Capital Structure and Firm Performance Asymmetric? An Emerging Market Perspective. Published in: Cogent Economics and Finance , Vol. 12, No. 1 (8 January 2024): p. 2296195.
MAHMUD, HASSAN (2008): Why has Growth slowed in Sub-Saharan Africa: A System GMM-IV Approach. Forthcoming in: Economic and Financial Review , Vol. 47, No. 3 (September 2009)
Magazzino, Cosimo (2010): Wagner's law and augmented Wagner's law in EU-27. A time-series analysis on stationarity, cointegration and causality. Published in: C.R.E.I. Working Papers No. 05 (October 2010)
Mahmoud, Chowdhury Shameem and Wadood, Syed Naimul and Ahmed, Kazi Sabbir (2008): Addressing Regional Inequality Issues in Bangladesh Public Expenditure. Published in: Centre for Policy Dialogue Occasional Paper Series No. 71 (November 2008)
Majumder, Rajarshi (2008): Infrastructure for Sustainable Growth: A Demand Projection Exercise for India. Published in: Journal of Quantitative Economics , Vol. 5, No. 2 (December 2007)
Makowsky, Michael and Thomas, Stratmann (2008): More Tickets, Fewer Accidents: How Cash-Strapped Towns Make for Safer Roads.
Makreshanska, Suzana and Petrevski, Goran (2016): Fiscal decentralization and government size across Europe.
Makrevska Disoska, Elena and Tonovska, Jasna and Toshevska-Trpcevska, Katerina and Tevdovski, Dragan and Stojkoski, Viktor (2023): Empirical Determinants of Innovation in European Countries: Testing the Porter's Hypothesis.
Makrevska Disoska, Elena and Toshevska-Trpchevska, Katerina and Tevdovski, Dragan and Jolakoski, Petar and Stojkoski, Viktor (2021): A longitudinal overview of the European national innovation systems through the lenses of the Community Innovation Survey.
Malikov, Emir and Kumbhakar, Subal C. (2014): A generalized panel data switching regression model.
Malikov, Emir and Kumbhakar, Subal C. and Sun, Yiguo (2013): Varying Coefficient Panel Data Model in the Presence of Endogenous Selectivity and Fixed Effects.
Malikov, Emir and Kumbhakar, Subal C. and Tsionas, Efthymios (2015): A Cost System Approach to the Stochastic Directional Technology Distance Function with Undesirable Outputs: The Case of U.S. Banks in 2001-2010.
Malikov, Emir and Restrepo-Tobon, Diego A and Kumbhakar, Subal C. (2014): Are All U.S. Credit Unions Alike? A Generalized Model of Heterogeneous Technologies with Endogenous Switching and Correlated Effects.
Malikov, Emir and Restrepo-Tobon, Diego A and Kumbhakar, Subal C. (2016): Heterogeneous Credit Union Production Technologies with Endogenous Switching and Correlated Effects.
Mammadova, Aytan and Mammadova, Leyla and Mammadov, Fuad and Yusifzade, Leyla (2016): Determinants of depositors’ behaviour: Heterogeneous panel estimates.
Marattin, Luigi and Salotti, Simone (2009): On the usefulness of government spending in the EU area. Forthcoming in: Journal of Socio-Economics , Vol. forthc, No. forthcoming (2011)
Marin, Giovanni (2010): Sector CO2 and SOx emissions efficiency and investment: homogeneous vs heterogeneous estimates using the Italian NAMEA.
Masino, Serena (2012): Macroeconomic instability and the incentive to innovate.
Masino, Serena (2012): Macroeconomic instability and the incentive to innovate.
Matsuki, Takashi and Usami, Ryoichi (2007): China's Regional Convergence in Panels with Multiple Structural Breaks. Forthcoming in:
Mazhar, Ummad (2012): Regulatory discretion and the unofficial economy: A redux.
Melis, Gabriella and Elliot, Mark and Shryane, Nick (2014): Environmental concern over time: evidence from the longitudinal analysis of a British cohort study from 1991 to 2008. Published in: Social Science Quarterly , Vol. 4, No. 95 (2014): pp. 905-919.
Mencinger, Jernej and Aristovnik, Aleksander and Verbic, Miroslav (2014): The Impact of Growing Public Debt on Economic Growth in the European Union. Published in: Amfiteatru Economics , Vol. 16, No. 35 (February 2014): pp. 403-414.
Meng, Ginger and Hu, Gang and Bai, Jushan (2007): Olive: a simple method for estimating betas when factors are measured with error. Published in: The Journal of Financial Research , Vol. XXXIV, No. 1 (2011): pp. 27-60.
Miankhel, Adil Khan and Kalirajan, Kaliappa and Thangavelu, Shandre (2010): Integration, decoupling and the global financial crisis: A global perspective.
Miguel, Edward and Hamory, Joan (2009): Individual Ability and Selection into Migration in Kenya. Published in: Human Development Research Paper (HDRP) Series , Vol. 45, No. 2009
Mitze, Timo and Alecke, Björn and Untiedt, Gerhard (2008): Trade, FDI and Cross-Variable Linkages: A German (Macro-)Regional Perspective.
Mitze, Timo and Reinkowski, Janina (2010): Testing the validity of the neoclassical migration model: Overall and age-group specific estimation results for German spatial planning regions.
Moore, Winston and CRAIGWELL, ROLAND (2008): Foreign direct investment and tourism in SIDS: evidence from panel causality tests. Published in: Tourism Analysis , Vol. 13, No. 4 (2008): pp. 427-432.
Morgan, Horatio M. (2013): Credit Unions, Consolidation and Business Formation: Evidence from Canadian provinces.
Morgan, Horatio M. (2013): Credit Unions, Consolidation and Small Business Lending: Evidence from Canada.
Mori, Tomoya and Sakaguchi, Shosei (2018): Collaborative knowledge creation: Evidence from Japanese patent data.
Mousa, Amani and Youssef, Ahmed H. and Abonazel, Mohamed R. (2011): A Monte Carlo Study for Swamy’s Estimate of Random Coefficient Panel Data Model. Published in: InterStat Journal , Vol. 2011, No. April, No. 4 : pp. 1-12.
Moyo, Clement and Khobai, Hlalefang (2018): Trade openness and economic growth in SADC countries. Published in:
Muinelo-Gallo, Leonel and Rodriguez-Miranda, Adrián and Castro-Scavone, Pablo (2017): Intergovernmental transfers and regional income inequalities in Uruguay.
Mujahid, Hira and Alam, Shaista (2016): Institutions, human capital, and economic Output volatility: A Case of Open Economies. Published in: Pakistan Journal of Applied Economics No. Special
Mujcic, Redzo (2014): Are fruit and vegetables good for our mental and physical health? Panel data evidence from Australia.
Mukherjee, Nandini and Chatterjee, Biswajit (2014): Poverty and Inequality in urban India with special reference to West Bengal.
NANTOB, N'Yilimon (2014): Taxation and Economic Growth : An Empirical Analysis on Dynamic Panel Data of WAEMU Countries.
NANTOB, N'Yilimon (2014): Taxes and Economic Growth in Developing Countries : A Dynamic Panel Approach.
Nachane, D M and Ghosh, Saibal (2004): Credit rating and bank behavior in India: Possible implications of the new Basel accord. Published in: Singapore Economic Review , Vol. 49, (2004): pp. 37-54.
Nachane, D M and Ghosh, Saibal (2007): An empirical analysis of the off-balance sheet activities of Indian banks. Published in: Journal of Emerging Market Finance , Vol. 6, No. 1 (January 2007): pp. 39-59.
Nachane, D M and Narain, Aditya and Ghosh, Saibal and Sahoo, Satyananda (2001): Bank response to capital requirements: Theory and Indian evidence. Published in: Economic and Political Weekly , Vol. 36, No. 4 (2001): pp. 329-335.
Nachane, Dilip and Ghosh, Saibal and Ray, Partha (2006): Basel II and bank lending behavior: Some likely implications for monetary policy in India. Published in: Economic and Political Weekly , Vol. 41, No. 11 (24 March 2006): pp. 1053-1058.
Nadeem, Muhammad and Hayat, Muhammad Azmat and Nazir, Rabia (2014): Exploring Interlinks between Globalization and Governance: A Panel Data Evidence. Published in: Pakistan Economic and Social Review , Vol. 52, No. 2 (December 2014): pp. 187-208.
Nadeem, Muhammad and Hayat, Muhammad Azmat and Nazir, Rabia (2014): Exploring Interlinks between Globalization and Governance: A Panel Data Evidence. Published in: Pakistan Economic and Social Review , Vol. 52, No. 2 (December 2014): pp. 187-208.
Nagayasu, Jun (2010): Domestic Capital Mobility: A Panel Data Approach.
Natalia, Khorunzhina and Wayne Roy, Gayle (2011): Micro-level Estimation of Optimal Consumption Choice with Intertemporal Nonseparability in Preferences and Measurement Errors.
Nepal, Rabindra (2011): Energy efficiency in transition: do market-oriented economic reforms matter?
Nie, Huihua and Jiang, Ting and Yang, Rudai (2012): A Review and Reflection on the Use and Abuse of Chinese Industrial Enterprises Database.
Nikopour, Hesam and Shah Habibullah, Muzafar and Schneider, Friedrich and Law, Siong Hook (2009): Foreign Direct Investment and Shadow Economy: A Causality Analysis Using Panel Data.
Ofori, Isaac K. and Armah, Mark K. and Taale, Francis and Ofori, Pamela Efua (2021): Addressing the Severity and Intensity of Poverty in Sub-Saharan Africa: How Relevant is the ICT and Financial Development Pathway? Forthcoming in: Heliyon Business and Economics
Ogundipe, Adeyemi and Ogundipe, Oluwatomisin (2013): Is Aid Really Dead? Evidences from Sub-Saharan Africa.
Omay, Tolga and Hasanov, Mubariz and Ucar, Nuri (2012): Energy consumption and economic growth: evidence from nonlinear panel cointegration and causality tests.
Omojolaibi, Joseph and Mesagan, Ekundayo and Olaifa, Adeyemi (2015): The Impact of Non-oil Export on Domestic Investment in Nigeria. Published in: The Empirical Econometrics and Quantitative Economics Letters , Vol. 4, No. 3 (September 2015): pp. 15-29.
Omri, Anis and Nguyen, Duc Khuong and Rault, Christophe (2014): Causal interactions between CO2 emissions, FDI, and economic growth: Evidence from dynamic simultaneous-equation models. Published in: Economic Modelling , Vol. 42, (6 August 2014): pp. 382-389.
Onanuga, Olaronke and Onanuga, Abayomi (2014): Economics of the Environment and Infant Mortality in Sub-Saharan Africa. Published in: African Journal of Scientific Research , Vol. 12, No. 1 (31 June 2014): pp. 689-703.
Onofrei, Mihaela and Lupu, Dan (2014): The modelling of forecasting the bankruptcy in Romania. Published in: Economic Computation and Economic Cybernetics Studies and Research , Vol. 48, No. 3 (30 September 2014): pp. 197-217.
Osti, Davide (2022): Returns to scale with a Cobb-Douglas production function for four small Northern Italian firms.
Otero, Karina V. (2008): Evolución del Poder de Mercado en los Servicios de Intermediación Financiera en Argentina. Published in: Ensayos Economicos No. 50 (March 2008): pp. 7-60.
Otero, Karina V. (2016): Nonparametric identification of dynamic multinomial choice games: unknown payoffs and shocks without interchangeability.
Paccagnella, Omar and Garrouste, Christelle (2012): Early-life circumstances and late-life income. Published in: 46TH SCIENTIFIC MEETING OF THE ITALIAN STATISTICAL SOCIETY No. Conference Proceedings (9 May 2012)
Panicker, Vidya and Mitra, Sumit and Sensarma, Rudra (2016): Corporate Governance Determinants of FII in Indian IT Firms. Published in: Indian Journal of Corporate Governance , Vol. 9, No. 1 (2016): pp. 1-18.
Paolo, Foschi (2005): Estimating regressions and seemingly unrelated regressions with error component disturbances.
Papadamou, Stephanos and Fassas, Athanasios and Kenourgios, Dimitris and Dimitriou, Dimitrios (2020): Direct and Indirect Effects of COVID-19 Pandemic on Implied Stock Market Volatility: Evidence from Panel Data Analysis.
Pavlyuk, Dmitry (2010): Regional Tourism Competition in the Baltic States: a Spatial Stochastic Frontier Approach.
Peng, Fei and Kang, Lili (2013): Wage Flexibility in Chinese Labor Market 1989-2009.
Pennoni, Fulvia and Romeo, Isabella (2016): Latent Markov and growth mixture models for ordinal individual responses with covariates: a comparison.
Perez, Marcos and Ahn, Seung Chan (2007): GMM Estimation of the Number of Latent Factors.
Pericoli, Filippo M. and Pierucci, Eleonora and Ventura, Luigi (2012): The impact of social capital on consumption insurance and income volatility in U.K.: evidence from british household panel survey.
Phiri, Andrew (2020): Genetic diversity, disease prevalence and the coronavirus pandemic.
Pierucci, Eleonora and Ventura, Luigi (2012): International risk sharing and globalization.
Piper, Alan T. (2012): Dynamic Analysis and the Economics of Happiness: Rationale, Results and Rules.
Piper, Alan T. (2012): Heaven knows I’m miserable now: overeducation and reduced life satisfaction.
Piper, Alan T. (2012): Heaven knows I’m miserable now: overeducation and reduced life satisfaction.
Pita Barros, Pedro and Medalho Pereira, Isabel (2009): Health Care and Health Outcomes of Migrants: Evidence from Portugal. Published in: Human Development Research Paper (HDRP) Series , Vol. 28, No. 2009
Polemis, Michail and Fotis, Panagiotis (2011): Gasoline price asymmetries in the Euro Zone.
Pratomo, Wahyu Ario and Ismail, Abdul Ghafar (2006): ISLAMIC BANK PERFORMANCE AND CAPITAL STRUCTURE.
Presbitero, Andrea F. (2008): Debt Relief Effectiveness and Institution Building.
Prowse, Victoria (2012): Modeling employment dynamics with state dependence and unobserved heterogeneity.
Rahman, Mizanur (2008): The Impact of a Common Currency on East Asian Production Networks and China’s Exports Behavior.
Rahman, Mizanur and Kalirajan, Kaliappa (2008): The effect of a collective exchange rate adjustment on East Asian exports.
Rahooja, Sabbah and Ali, Asif and Ahmed, Jameel and Hussain, Fayyaz and Rifat, Rizwana (2014): Monetary Policy and Bank Hetrogeneity: Effectiveness of Bank Lending Channel in Pakistan.
Raji, Rahman Olanrewaju (2012): REAL Exchange Rate Misalignment and Economic Performance of WEST AFRICAN MONETARY ZONE:Implications for macroeconomic unionisation.
Ramírez-Rondán, N. R. and Terrones, Marco E. and Vilchez, Andrea (2018): Does financial sector development affect the growth gains from trade opennes?
Rao, B. Bhaskara and Kumar, Saten (2010): Error-Correction Based Panel Estimates of the Demand for Money of Selected Asian Countries with the Extreme Bounds Analysis.
Rath, Deba Prasad and Misra, Biswa Swarup (2006): Examining Sustainability of Federal Finances in India: An Application of Non-stationary Panel Methods. Published in:
Ray, Rita (2015): STEM Education and Economic Performance in the American States.
Ray, Rita (2015): STEM Education and Economic Performance in the American States.
Ray, Shaswata and Husain, Zakir (2019): To be, or not to be: A study of suicides in India.
Razzak, Weshah (2013): An Empirical Study of Sectoral-Level Capital Investments in New Zealand. Forthcoming in: New Zealand Treasury Working Papers (2014)
Ripamonti, Alexandre (2019): Capital Structure Adjustments and Asymmetric Information. Published in: International Journal of Economics and Finance , Vol. 12, No. 11 (5 November 2019): pp. 1-14.
Ripamonti, Alexandre and Silva, Diego and Moreira Neto, Eurico (2018): Asset Pricing and Asymmetric Information. Published in: Asian Journal of Economics, Business and Accounting , Vol. 7, No. 2 (14 June 2018): pp. 1-9.
Robertson, Donald and Sarafidis, Vasilis and Westerlund, Joakim (2014): GMM Unit Root Inference in Generally Trending and Cross-Correlated Dynamic Panels.
Rosique, Francisco (2010): The Determinants of Corporate Growth.
Roussel, Yannick and Audi, Marc (2024): Exploring the Nexus of Economic Expansion, Tourist Inflows, and Environmental Sustainability in Europe.
Roychowdhury, Punarjit (2011): Regulation, enforcement and informality: an analysis based on selected countries.
Roychowdhury, Punarjit and Dutta, Mousumi (2011): Regulation, enforcement and informality: an analysis based on selected countries.
Saccal, Alessandro (2022): Confidence and economic activity in Europe. Published in: The IUP Journal of Applied Economics , Vol. XXI, No. 1 (3 January 2022): pp. 55-67.
Safari, Meysam and TahmooresPour, Reza (2011): Moderation Effect of Market Condition on the Relationship between Dividend Yield and Stock Return.
Saidi, Hichem and El Montasser, Ghassen and Ajmi, Noomen (2018): Renewable Energy, Quality of Institutions and Economic Growth in MENA Countries: a Panel Cointegration Approach.
Sakarya, Burchan (2016): Financial Stability of Islamic (Participation) Banks in Turkey.
Salamaliki, Paraskevi (2019): Assessing labor market conditions in Greece: a note.
Salotti, Simone and Marattin, Luigi (2009): On the usefulness of government spending in the EU area.
Salotti, Simone and Marattin, Luigi (2009): On the usefulness of government spending in the EU area.
Sarafidis, Vasilis (2009): GMM Estimation of short dynamic panel data models with error cross-sectional dependence.
Sarafidis, Vasilis and Wansbeek, Tom (2010): Cross-sectional Dependence in Panel Data Analysis.
Sarafidis, Vasilis and Weber, Neville (2009): To pool or not to pool: a partially heterogeneous framework.
Saripalle, Madhuri (2006): Learning across policy regimes: A case study of the Indian Automobile Industry. Published in: International Journal of Automotive Technology and Management , Vol. 12, No. 2 (May 2012): pp. 197-217.
Sbia, Rashid and Hamdi, Helmi (2013): Are Investment and Saving Cointegrated Evidence From Middle East and North African Countries.
Senbeta, Sisay (2008): The nexus between FDI and Total Factor Productivity Growth in Sub Saharan Africa.
Shabbir, Safia (2012): Monetary Transmission in Pakistan: The Balance Sheet Channel.
Shah, Mumtaz Hussain (2018): Corruption & Foreign Direct Investment: The Case of South Asia. Published in: PUTAJ – Humanities and Social Sciences , Vol. 25, No. 1 (June 2018): pp. 1-16.
Shah, Mumtaz Hussain (2016): Financial development and foreign direct investment: The case of Middle East and North African (MENA) developing nations. Published in: University of Haripur Journal of Management , Vol. 1, No. 2 (30 October 2016): pp. 93-109.
Shah, Mumtaz Hussain and Khan, Fiaz (2018): Profitability and Working Capital Management Nexus: Evidence from Food & Personal Care Products Sector Firms Listed on Pakistan Stock Exchange. Published in: Journal of Business and Tourism , Vol. 4, No. 1 (June 2018): pp. 55-67.
Shah, Syed Mehmood Raza and Fu, Qiang and Dawood, Muhammad and Ishfaq, Muhammad (2020): Issuance of Wealth Management Products and Expected Yields; A Shadow Banking Perspective. Published in: International Journal of Management (IJM) , Vol. 11, No. 11 (13 November 2020): pp. 586-596.
Shahateet, Mohammed (2014): Modeling Economic Growth and Energy Consumption in Arab Countries: Cointegration and Causality Analysis. Published in: International Journal of Energy Economics and Policy , Vol. 3, No. 4 (July 2014): pp. 349-359.
Shijaku, Gerti (2016): Does Primary Sovereignty Risk Matter for Bank Fragility? Evidence from Albanian Banking System.
Shijaku, Gerti (2014): Fiscal policy, output and financial stress in the case of developing and emerging European economies: a threshold VAR approach.
Simbanegavi, Witness and Greenberg, Josh and Gwatidzo, Tendai (2012): Testing for competition in the South African banking sector.
Simpasa, Anthony (2010): Characterising market power and its determinants in the Zambian banking indudstry.
Simplice A, Asongu (2011): How would population growth affect investment in the future? Asymmetric panel causality evidence for Africa. Forthcoming in: African Development Review
Stauskas, Ovidijus and De Vos, Ignace (2024): Handling Distinct Correlated Effects with CCE.
Stavarek, Daniel and Repkova, Iveta (2011): Estimation of the competitive conditions in the Czech banking sector. Published in: Acta Universitatis Agriculturae et Silviculturae Mendelianae Brunensis , Vol. 59, No. 2 (March 2011): pp. 299-305.
Sulku, Seher Nur (2011): The impacts of health care reforms on the efficiency of the Turkish public hospitals: Provincial markets.
Sulku, Seher Nur (2011): The impacts of health care reforms on the efficiency of the Turkish public hospitals: Provincial markets. Published in: The European Journal of Public Health No. http://eurpub.oxfordjournals.org/content/early/2011/11/09/eurpub.ckr163 (2011): pp. 1-5.
Sutherland, Richard and Craigwell, Roland (2011): Private Consumption Expenditure in the Eastern Caribbean Currency Union. Forthcoming in:
Swamy, Vighneswara (2015): The Dynamics of Government Debt and Economic Growth.
Swamy, Vighneswara (2015): Government Debt and Economic Growth – Decomposing the Cause and Effect Relationship.
Swamy, Vighneswara (2015): Government Debt and Economic Growth: Estimating the Debt Thresholds and Debt Intolerance.
Swamy, Vighneswara (2015): Government Debt and its Macroeconomic Determinants – An Empirical Investigation.
T., Vasylieva and A., Lasukova (2013): Empirical study on the correlation of corporate social responsibility with the banks efficiency and stability. Published in: Corporate ownership & Control , Vol. 10, No. 4 (2013): pp. 86-93.
Taiwo, Kayode (2020): Do remittances spur economic growth in Africa? Published in: Nigerian Studies in Economics and Management Sciences , Vol. 4, No. 1 (2021): pp. 29-39.
Taiwo, Kayode (2020): Do remittances spur economic growth in Africa? Published in: Nigerian Studies in Economics and Management Sciences , Vol. 4, No. 1 (2021): pp. 29-39.
Talpos, Ioan and Dima, Bogdan and Mutascu, Mihai and Enache, Cosmin (2008): CULTURE AND MIGRATION: A TALE ABOUT FEAR AND HOPE (WITH AN EMPIRICAL ANALYSIS ON EUROPEAN UNION CASE).
Tashevska, Biljana and Trpkova-Nestorovska, Marija and Trenovski, Borce (2017): Estimating a fiscal reaction function for the South East European countries. Published in: International Statistical Conference in Croatia: “New Advances in Statistical Methods Applications for a Better World“ , Vol. 1, No. 2 (2018): pp. 36-43.
Tharavanij, Piyapas (2007): Capital Market Development, Frequency of Recession, and Fraction of Time the Economy in Recession.
Tharavanij, Piyapas (2007): Capital Market and Business Cycle Volatility.
Tharavanij, Piyapas (2007): Capital Market and Business Cycle Volatility.
Tharavanij, Piyapas (2007): Capital Market, Frequency of Recession, and Fraction of Time the Economy in Recession.
Tharavanij, Piyapas (2007): Capital Market, Severity of Business Cycle, and Probability of Economic Downturn.
Tharavanij, Piyapas (2007): Capital Market, Severity of Business Cycle, and Probability of an Economic Downturn.
Tripathi, Sabyasachi (2019): Macroeconomic Determinants of Housing Prices: A Cross Country Level Analysis.
Trofimov, Ivan D. (2020): Health Care Spending and Economic Growth: Armey-Rahn Curve in a Panel of European Economies.
Tsionas, Efthymios and Kumbhakar, Subal (2006): Estimation of Technical and Allocative Inefficiencies in a Cost System: An Exact Maximum Likelihood Approach.
Tsionas, Efthymios and Kumbhakar, Subal C. and Malikov, Emir (2015): Estimation of Input Distance Functions: A System Approach. Forthcoming in: American Journal of Agricultural Economics
Tullio, Federico and Bartolucci, Francesco (2019): Evaluating time-varying treatment effects in latent Markov models: An application to the effect of remittances on poverty dynamics.
Valerio Mendoza, Octasiano and Borsi, Mihály Tamás and Comim, Flavio (2021): Human capital dynamics in China: Evidence from a club convergence approach.
Veysov, Alexander and Stolbov, Mikhail (2011): Do financial systems converge? A Comprehensive panel data approach and new evidence from a dataset for 102 countries.
Vitek, Francis (2007): An Evaluation of the Exchange Rate Forecasting Performance of the New Keynesian Model.
Vo, Duc and Vo, Anh (2019): Financial Inclusion and Economic growth: An International Evidence. Published in: Emerging Markets Finance and Trade (6 December 2019)
Vossler, Christian A. (2009): Analyzing repeated-game economics experiments: robust standard errors for panel data with serial correlation.
Vukovic, Vuk (2013): Persistent electoral success with endogenous rents.
Wanat, Stanisław and Papież, Monika and Śmiech, Sławomir (2016): Insurance Market Development and Economic Growth in Transition Countries: Some new evidence based on bootstrap panel Granger causality test.
Wang, Boqun and Yang, Dennis Tao (2021): Volatility and Economic Systems: Evidence from A Large Transitional Economy.
Wang, Haoying (2018): An Economic Impact Analysis of Oil and Natural Gas Development in the Permian Basin.
Wang, Hung-Jen (2000): Symmetrical Information and Credit Rationing: Graphical Demonstrations. Published in: Financial Analysts Journal , Vol. 2, No. 56 (2000): pp. 85-95.
Werner, Arndt and Moog, Petra (2009): Why do Employees Leave Their Jobs for Self-Employment? – The Impact of Entrepreneurial Working Conditions in Small Firms.
Westerlund, Joakim and Basher, Syed A. (2006): Can Panel Data Really Improve the Predictability of the Monetary Exchange Rate Model?
Westerlund, Joakim and Basher, Syed A. (2007): Mixed Signals Among Tests for Panel Cointegration. Forthcoming in: Economic Modelling
Westerlund, Joakim and Basher, Syed A. (2007): Testing for Convergence in Carbon Dioxide Emissions Using a Century of Panel Data. Forthcoming in: Environmental and Resource Economics
Xiao, Jiaqi and Juodis, Arturas and Karavias, Yiannis and Sarafidis, Vasilis (2021): Improved Tests for Granger Non-Causality in Panel Data.
Xiao, Jiaqi and Juodis, Arturas and Karavias, Yiannis and Sarafidis, Vasilis and Ditzen, Jan (2022): Improved Tests for Granger Non-Causality in Panel Data.
Xuan, Liang and Jiti, Gao and xiaodong, Gong (2021): Semiparametric Spatial Autoregressive Panel Data Model with Fixed Effects and Time-Varying Coefficients.
You, Jing and Huang, Yongfu (2013): Green-to-Grey China: Determinants and Forecasts of its Green Growth.
Youssef, Ahmed H. and Abonazel, Mohamed R. (2009): A Comparative Study for Estimation Parameters in Panel Data Model. Published in: InterStat Journal , Vol. 2009, No. May, No. 2 (9 May 2009): pp. 1-17.
Yousuf, Ahmed Sadek (2012): Assessing Impact of Health Oriented Aid on Infant Mortality Rates.
Yousuf, Ahmed Sadek (2012): Impact of Health Aid on Infant Mortality Rate.
Yuan, Mingqing (2023): The nexus between economic growth, healthcare expenditure, and CO2 emissions in Asia-Pacific countries: Evidence from a PVAR approach.
Zheng, Xinye and Li, Fanghua and Song, Shunfeng and Yu, Yihua (2013): Central Government's Infrastructure Investment across Chinese Regions: A Dynamic Spatial Panel Data Approach. Forthcoming in: China Economic Review
Zhou, X. and Li, Kui-Wai (2010): Causality between Openness and Indigenous Factors among World Economies. Published in: Investment Management and Financial Innovations , Vol. 7, No. 2 (2010): pp. 159-166.
Zouabi, Oussama and Kahia, Montassar (2014): The direct effect of climate change on the cereal production in Tunisia: A micro-spatial analysis.
belaid, fateh and Dagher, Leila and Filis, George (2020): Revisiting the Resource Curse in the MENA region. Published in: Resources Policy , Vol. 73, (2021): pp. 1-14.
d'Agostino, Giorgio and Pieroni, Luca and Scarlato, Margherita (2015): Revisiting the Effects of Enhanced Flexibility on the Italian Labour Market.
d'Agostino, Giorgio and Scarlato, Margherita (2016): Gender Inequality in the South African Labour Market: the Impact of the Child Support Grant.
d'Agostino, Giorgio and Scarlato, Margherita and Napolitano, Silvia (2016): Do Cash Transfers Promote Food Security? The Case of the South African Child Support Grant.
de Mello-Sampayo, Felipa and de Sousa-Vale, Sofia (2012): Financing Health Care Expenditure in the OECD Countries: Evidence from a Heterogeneous, Cross-Sectionally Dependent Panel.
dogru, bulent (2015): The Exchange Rate Uncertaınty On Foreıgn Trade: Evıdence From Panel Coıntegratıon Analysıs For Turkey.
smruti, Smruti Ranjan Behera (2012): Technology Spillover and Determinants of Foreign Direct Investment: An Analysis of Indian Manufacturing Industries.
tiwari, aviral kumar and krishnankutty, Raveesh (2010): Determinants of capital Structure: comparison of empirical evidence for the use of different estimators.
van der Plaat, Mark (2020): Loan sales and the tyranny of distance in U.S. residential mortgage lending.
çenberci, engin (2018): Defense Expenditures and Income Inequality: Evidence from Chosen Euro Using Countries. Published in: Journal of Social Sciences of Mus Alparslan University , Vol. 7, No. 6 (13 December 2019): pp. 121-127.
çenberci, engin (2020): The Nexus Between Defense Spending and Growth: Empirical Analysis of First Euro Users.
Allaoui, Zohra and Chkir, Ali (2006): Mondialisation, convergence et croissance economique: une analyse par les données de panel.
BAYALE, Nimonka (2019): Effet de l’aide publique au développement sur la mobilisation des ressources fiscales dans les pays de l’UEMOA.
Benabdelkader, Mohamed (2016): Productivité, innovation et politique sectorielle des industries de transformation au Maroc (1985-2013) : Fondements théoriques et proposition d’une méthodologie.
Dayoro, Donatien (2024): Hybrid Model Construction for Integrating Climate Risks into Côte d'Ivoire's Economic Policy: Theoretical Approach and Management Strategies. Published in: , Vol. 28, (5 December 2024): pp. 1-28.
Diagne, Youssoupha Sakrya and Sy, Hamat and Thiam, Dame (2014): Efficience des dépenses publiques au Sénégal. Published in: dpee.sn
Fouda Ekobena, Simon Yannick (2012): Politique monétaire et croissance économique en zone cemac [une évaluation empirique en données de panel].
GBANDI, Tchapo (2016): Ratios d’adéquation et fonction de demande des réserves de change dans les pays de l’UEMOA.
GHARDACH, jaouad (2014): THE EXCHANGE RATE PASS-THROUGH TO IMPORT PRICES: A PANEL EVIDENCE FROM DEVELOPING COUNTRIES.
Gakpa, Lewis Landry (2012): Inégalités des revenus,endettement et pauvreté dans les pays de l’uemoa : une approche sur données de panel dynamique.
Gharyeni, Abdellatif and Jouili, Mustapha (2015): Dette extérieure et croissance économique dans les pays à revenu intermédiaire : Essai empirique. Forthcoming in: érudit No. L'actualité économique, revue d'analyse économique
Ghassan, Hassan B. (2000): Formes et méthodes d’estimation des systèmes récursifs dynamiques à double indice. Published in: Revue de l'Institut National de Statistique et d'Economie Appliquée , Vol. 19, (16 March 2002): pp. 61-79.
KAMGNA, Severin Yves and NGUENANG, Christian and TALABONG, Hervé and OULD, Isselmou (2009): Fonction de reaction de la banque centrale et credibilite de la politique monétaire: Cas de la BEAC.
Katuala, Hénock (2020): Ouverture intra-régionale et dynamique de la croissance extravertie.
Kebewar, Mazen (2012): La structure du capital et la profitabilité : Le cas des entreprises industrielles françaises.
Kebewar, mazen (2012): La structure du capital et la profitabilité Une étude empirique sur données de panel françaises.
Kebewar, mazen (2012): L’ENDETTEMENT AFFECTE-T-IL LA PROFITABILITÉ? LE CAS DES FIRMES AGRO-ALIMENTAIRES FRANÇAISES.
Kebewar, mazen (2012): L’impact de l’endettement sur la profitabilité: Une étude empirique sur données françaises en panel.
Kuikeu, Oscar (2020): Age d’entrée dans le Mariage : enseignements tirés des Modèles de Durée. Le cas des économies de la Communauté économique et Monétaire d’Afrique centrale (CEMAC).
Kuikeu, Oscar (2022): Commerce et politiques macroéconomiques : évidence en zone CEMAC.
Kuikeu, Oscar (2021): Convergence économique : la place de la Région.
Kuikeu, Oscar (2020): Droit à l’avortement: sur quelle base légiférer ? enseignements tirés des Modèles de fertilité. Le cas de la Communauté économique et Monétaire de l’Afrique centrale (CEMAC).
Kuikeu, Oscar (2020): Décision d'adoption d'un vaccin: sur quelle base légiférer? Le point de vue Méthodologique. Cas de la Communauté économique et Monétaire d'Afrique centrale (CEMAC).
Kuikeu, Oscar (2021): La Convergence économique: Résultat des Compétitions continentales Africaines. Le cas du CHAN 2021.
Kuikeu, Oscar (2022): Les coûts de l’inflation.
Kuikeu, Oscar (2020): L’impact attendu de la pandémie sur le coût de la vie. Le cas de la Communauté économique et Monétaire d’Afrique centrale (CEMAC).
Kuikeu, Oscar (2012): Propriétés à distance finie d'estimateurs du modèle dynamique en données de panel à effets fixes lorsque N<T : étude par simulation monte carlo.
Liouaeddine, Mariem and Guenouni, Hanane (2010): Investissement en capital humain et croissance économique dans la région MENA : Etude économétrique sur données de panel.
Mpabe Bodjongo, Mathieu Juliot (2012): Infrastructures institutionnelles et développement financier en zone CEMAC. Published in:
Ngomba Bodi, Francis Ghislain (2018): Contributions relatives des chocs de demande agrégée et d’offre agrégée aux fluctuations de la croissance réelle en zone CEMAC.
Okey, Mawussé Komlagan Nézan (2009): Consommation d’énergies et croissance du PIB dans les pays de l’UEMOA : Une analyse en données de panel.
Sadraoui, Tarek and Ben Zina, Naceur (2007): Coopération en R&D et croissance économique : Une analyse par les données de panel dynamique.
TOGBENU, Fo-kossi Edem and Kadanga, Mayo Takémsi Norris (2024): Un réexamen de l’effet de seuil de la dette publique sur la croissance économique en Afrique subsaharienne.
bouoiyour, jamal and El Mouhoub, Mouhoud and Hanchane, Hichame (2008): Investissements directs étrangers et croissance économique : Estimation d’un modèle à erreurs composées.
bouoiyour, jamal and El Mouhoub, Mouhoud and Hanchane, Hichame (2008): Investissements directs étrangers et croissance économique : Estimation d’un modèle à erreurs composées.
Bonanno, Graziella (2012): L’efficienza del sistema bancario italiano dal 2006 al 2010. Un’applicazione delle frontiere stocastiche.
Lisi, Gaetano (2010): Occupazione irregolare e disoccupazione in Italia: un’analisi panel regionale.
Lambais, GBR and Silveira, JMFJ and Magalhães, MM (2010): Reforma Agrária, Eficiência e Mudança Institutional no Campo: análise teórica e de fronteira estocástica com dados em painel (1998-2006).
Santos, Carlos Filipe and Fuinhas, José Alberto and Marques, António Cardoso (2014): O nexus energia-crescimento e o nível da auto-suficiência na produção de petróleo: análise com macro painel.
Lifshits, Marina (2011): Экономико-демографическая роль миграции в глобальном мире и перспективы России. Published in: Международная миграция населения: вызовы глобализации. Научная серия: Международная миграция населения: Россия и современный мир , Vol. 24, No. 978–5-7218-1009-1 (2011): pp. 53-62.
Bukvić, Rajko and Hinić, Branko (1992): Vremenske serije u stalnim cenama i problem prelaska na neoriginalnu baznu godinu. Published in: Ekonomska misao , Vol. 25, No. 4 (1992): pp. 411-421.
Baja Daza, Gover and Villarroel Böhrt, Sergio and Zavaleta Castellón, David (2012): Diseño institucional e incentivos implicitos en la descentralización Boliviana (1994-2008). Published in: Factores economicos e institucionales y su incidencia en el escaso desarrollo nacional y regional: Bolivia 1989-2009. (http://www.pieb.com.bo/factores.php).
Campo Robledo, Jacobo (2011): Sostenibilidad fiscal: una aproximación con datos panel para 8 países Latinoaméricanos.
Campo Robledo, Jacobo and Sarmiento Guzmán, Viviana (2011): Relación consumo de energía y PIB: evidencia desde un panel cointegrado de 10 países de América Latina entre 1971 - 2007.
Carton, Christine (2008): Crecimiento economico en America Latina: Evidencias desde una perspectiva Kaldoriana.
Carton, Christine (2009): Mecanismos kaldorianos del crecimiento regional: Aplicación empírica al caso del ALADI (1980-2007). Published in: Economic Analysis Papers (Spain) , Vol. 5, No. 8 : pp. 1-24.
Carton, Christine and Ronquillo, Cely (2008): Determinantes del crecimiento económico e intermediación bancaria: un análisis empírico para países latinoamericanos. Published in: Panorama Socioeconomico , Vol. 37, No. 26 (25 November 2008): pp. 108-119.
Enríquez Sierra, Hernán and Campo Robledo, Jacobo (2012): Equilibrio regional y patrones de migración para el continente americano 1960 - 2005: Análisis espacial por panel de datos.
Estrada, Fernando (2014): Estabilidad política y tributación.
Loaiza Quintero, Osmar Leandro and Franco Vásquez, Liliana Yaned (2012): Un estudio acerca de los determinantes de la productividad y la ineficiencia técnica en la industria colombiana, 1992-2007.
Nolazco, Jose Luis and Bravo-Ortega, Claudio (2015): Instituciones, Recursos Naturales y sus Efectos en el Crecimiento Económico: Un Sistema de Ecuaciones Simultáneas en Panel de Datos.
Ramon Antonio, Rosales Alvarez and Jorge Andres, Perdomo Calvo and Carlos Andres, Morales Torrado and Jaime Alejandro, Urrego Mondragon (2009): Fundamentos de econometría intermedia: Teoría y aplicaciones. Published in: Apuntes de Clase CEDE , Vol. 1, No. 2010 (January 2010): pp. 1-414.
Ruiz-Porras, Antonio (2012): La investigación econométrica mediante paneles de datos: Historia, modelos y usos en México.
Valdivia Coria, Joab Dan and Pareja Marín, Caroline Andrea (2023): Impactos climáticos y económicos de El Niño Oscilación del Sur: Evidencia en PIB agrícola de Bolivia.
Dinçer, Gönül and Muratoğlu, Yusuf (2014): Türkiye’den Oecd Ülkelerine Gerçekleşen Göçün Çekim Modeli İle Analizi. Forthcoming in: Artvin Çoruh Üniversitesi Uluslararası Sosyal Bilimler Kongresi Bildiriler Kitabı
Korap, Levent (2010): OECD ülkeleri için ekonomik yakınsama öngörüsünün zaman serisi panel birim kök yöntemleri ile sınanması. Published in: İstanbul Ticaret Üniversitesi Sosyal Bilimler Dergisi , Vol. 2010, No. 1 (2010): pp. 189-206.
Sakarya, Burchan and Kaya, Yasemin (2013): Katılım Bankaları Mevduat Bankalarından Farklı mı Çalışıyor. Forthcoming in: Ekonomik Yaklaşım
Stepanenko, Bohdana (2011): ОЦІНКА ВПЛИВУ ЕЛЕМЕНТІВ ФІНАНСОВОГО МЕХАНІЗМУ НА СТАНОВЛЕННЯ ТА РОЗВИТКУ ЗЕЛЕНОГО БІЗНЕСУ В ЄВРОПІ. Published in: Науковий вісник Чернівецького університету: Економіка , Vol. 579-58, (2011): pp. 165-170.
Contact us: mpra@ub.uni-muenchen.de
This repository has been built using EPrints software.
MPRA is a RePEc service hosted by .