Applied Economics Quarterly (formerly: Konjunkturpolitik)
2014 - 2022
Continuation of Applied Economics Quarterly (formerly: Konjunkturpolitik). Current editor(s): Cinzia Alcidi, Christian Dreger and Daniel Gros From Duncker & Humblot GmbH, Berlin Bibliographic data for series maintained by E-Publishing-Team (). Access Statistics for this journal.
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Volume 68, issue 3, 2022
- Finding the Right Inflation Target pp. 149-159
- Deergha Raj Adhikari
- Did the COVID-19 Pandemic Impact Income Mobility and Income Distribution? pp. 161-190
- Caterina Astarita and Cinzia Alcidi
- Chairperson Effects in Monetary Policy Shock Identification pp. 191-230
- Dan Groft
Volume 68, issue 2, 2022
- Digital Payment and Economic Growth: Evidence from India pp. 79-93
- Abdul Azeez N. P., Mohammad Imdadul Haque and S. M. Jawed Akhtar
- The Changing Landscape of India’s Regional Trade Agreements: Realities and Prospects pp. 95-124
- Leena Ajit Kaushal
- Export Intensity, Learning, and Performance: A Multidimensional Model for Export Strategy pp. 125-148
- Areej Aftab Siddiqui and Kashika Arora
Volume 68, issue 1, 2022
- Exchange Rate Pass-Through, Inflation, and Monetary Policy in Egypt pp. 1-36
- Athar Elnagger and Christian Richter
- Social and Solidarity Economy in Morocco: Cooperatives’ Behavior and Growth pp. 37-51
- Najat El Mekkaoui and Sara Loukili
- Do Fiscal Regimes Matter for Fiscal Sustainability in South Africa? A Markov-Switching Approach pp. 53-78
- Gabriel Temesgen Woldu
Volume 67, issue 4, 2021
- Whose Policy Uncertainty Matters in the Trade between Germany and the United States: An Asymmetric Analysis pp. 287-309
- Mohsen Bahmani-Oskooee, Ridha Nouira and Sami Saafi
- Designing GDP-Linked Bonds with Default pp. 311-335
- John Leventides, Evangelos Melas, Costas Poulios, Paraskevi Boufounou and Rena Artemis Leventides
- Industrial Output Growth Forecast: A Machine Learning Approach Based on Cross-Validation pp. 337-351
- Jeronymo Marcondes Pinto and Emerson Marçal
Volume 67, issue 3, 2021
- The Role of Independent Fiscal Institutions in Assessing the Sustainability of High Public Debt pp. 199-223
- Esther Gordo, Eddie Casey, Inna Oliinyk, Willem-Pieter de Groen, José Miguel Ramos Carrasco and James Jolovski
- The Role of Air Pollution and Income in Public Health in OECD Countries pp. 225-256
- Carla Massidda
- How to Strengthen Fiscal Surveillance Towards a Medium-Term Focus? pp. 257-286
- Lucía Rodríguez, Roland Uittenbogaard, José Miguel Ramos Carrasco, Elena Segarra, Inna Oliinyk and Willem Pieter de Groen
Volume 67, issue 2, 2021
- Pandemic Versus Financial Shocks: Comparison of Two Episodes on the Bitcoin Market pp. 113-141
- Florian Horky, Mihai Mutascu and Jarko Fidrmuc
- Labor Demand, Qualifications, and Family Management: Analyzing Labor Demand of German Family-Managed Firms with Panel Data pp. 143-175
- Arnd Kölling
- Do Portfolio Diversification Benefits Exist? A Study of Selected Developed and Emerging Markets pp. 177-198
- Ritesh Patel
Volume 67, issue 1, 2021
- Exchange Rate Volatility and Domestic Consumption in the G7: An Asymmetric Analysis pp. 1-25
- Mohsen Bahmani-Oskooee and Jungho Baek
- Loan Maturity Structure and the Actualization of Production pp. 27-45
- Jamil Chaya1
- Estimating the Impact of Free Trade Agreements on India’s Export Potential pp. 47-70
- Leena Ajit Kaushal1
- Revisiting the EKC Hypothesis on the Moderating Role of Human Capital Formation in the Economic Growth-Environment Nexus pp. 71-111
- Mirza Md Moyen Uddin, Taimur Sharif and Rekha Pillai
Volume 66, issue 4, 2020
- A Simple Economic Model to Explain Different Digitization Patterns pp. 239-257
- Florian Bartholomae
- The EMU-REER Spillovers on Southeastern European Economies: A G-VAR Model pp. 259-290
- Petros Golitsis, Sotirios K. Bellos and Anastasios Alexandridis
- Capital-Flow Volatility and Economic Openness: A Wavelet Approach pp. 291-318
- Mihai Mutascu and Scott Hegerty
- How Large Are Firing Costs? A Cross-Country Study pp. 319-328
- Dennis Wesselbaum
Volume 66, issue 3, 2020
- Financial Development and Its Effect on Inequality: A Case of Fair Profit Maximization, Favoritism, or Discrimination? pp. 179-207
- Yaron Zelekha and Michal Weber
- What Happened to Polarization and Inequality Between 2008 and 2018 in Spain? pp. 209-222
- Rosa María García-Fernández and Candela Ruiz Tobar
- Does Government Size Explain Unemployment in MENA Countries? pp. 223-237
- Mufeed Almula-Dhanoon, Marwan Dhannoon and Mustafa Hammadi
Volume 66, issue 2, 2020
- Turkish-German Commodity Trade and Asymmetric J-Curve pp. 93-129
- Mohsen Bahmani-Oskooee and Huseyin Karamelikli
- Impact of Governance on FDI: Evidence from Dynamic Panel Regression Models pp. 131-144
- Fabian Reck
- On the Uncertainty Caused by the Referendum on Brexit pp. 145-164
- Christian Richter and Shampa Roy-Mukherjee
- Determinants of Microfinance Outreach in India: Empirical Evidence pp. 165-178
- Sivagandhi Saravanan and K.R. Shanmugam
Volume 66, issue 1, 2020
- Price Bargaining and the Business Cycle pp. 1-27
- Dennis Wesselbaum
- Does Informality Hold the Key to Growth and Stability? pp. 29-45
- Meghna Dutta
- Are Member States’ Budgetary Policies Adhering to the EU Fiscal Rules? pp. 47-64
- David Cronin
- A Review of Wagner’s Law with Disaggregated Data for Spain pp. 65-92
- Manuel Jaén-García
Volume 65, issue 4, 2019
- The Association Between Bank Credit Terms and Conditions and the Business Cycle in the Euro Area pp. 247-256
- Dimitris Anastasiou and Konstantinos Drakos
- Revisiting Equity Premium Puzzles in a Data-Rich Environment pp. 257-275
- Mohamed Douch and Mohammed Bouaddi
- Banking Crisis Prediction with Differenced Relative Credit pp. 277-297
- Karlo Kauko and Eero Tölö
- Financial Literacy Among German Students at Secondary Schools: Some Empirical Evidence from the State of Hesse pp. 299-326
- Volker Brühl
Volume 65, issue 3, 2019
- Military Expenditure, Economic Growth and Development in Transition Economies: A Panel VAR GMM Approach pp. 139-187
- Sotirios K. Bellos
- Analyzing Resilience in Local Labor Market Areas: A Spatial Analysis for the Case of Italy pp. 189-208
- Barbara Martini and Marco Platania
- Trends and Cycles in U.S. Labor-Market Slack, 1994–2019 pp. 209-235
- John Komlos
- Does Firm Size Matter? The Impact of Homeownership on Business Start-up in Italy pp. 237-246
- Gaetano Lisi
Volume 65, issue 2, 2019
- Do Globalization and Institutional Reforms Matter for Financial Structure in Selected Asian Countries? A Panel Data Approach pp. 87-100
- Madhu Sehrawat and Arun Giri
- Economic Policy Uncertainty and Household Financial Assets pp. 101-113
- Hassan Gholipour Fereidouni and Mary Elizabeth Dunkley
- Cross-Sectional Relationship Between Beta and Realized Returns in Emerging Markets pp. 115-137
- Mohammad A. Khataybeh, Mohamad Abdulaziz and Zyad Marashdeh
Volume 65, issue 1, 2019
- Natural Resources, Energy Dependency, and their Association with Institutional and Growth-Related Variables in the Black Sea and Southeastern European Region pp. 1-43
- Sotirios K. Bellos
- Determinants of Value Creation in Oil and Gas Firms: A Firm-Specific Comparative Study Using Panel Data pp. 45-69
- B. Rajesh Kumar and K. S. Sujit
- Economic Sustainability of the MENA Region pp. 71-86
- Osama Sweidan
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