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1. ANALYZING CAUSALITY AND COINTEGRATION OF MACROECONOMICS AND ENERGY-RELATED FACTORS OF NORDIC AND SEE EUROPEAN COUNTRIES.

2. INVESTIGATING THE RELATIONSHIPS BETWEEN ECONOMIC GROWTH AND ENVIRONMENTAL DEGRADATION: EVIDENCE FROM EU15 COUNTRIES.

3. New evidence toward solving the puzzle of innovation and inequality. The role of institutions.

4. The transmission of euro area monetary policy to financially euroized countries.

5. Unemployment and government size: Is there any credible causality?

6. Pairs‐trading and spread persistence in the European stock market.

7. Exchange rate pass-through to import prices in Europe: a panel cointegration approach.

8. Did Purchasing Power Parity Hold in Medieval Europe?

9. A NOTE ON RELATIONSHIP BETWEEN ECONOMIC ACTIVITY AND STOCK MARKET DEVELOPMENT: A CASE OF EURO AREA COUNTRIES.

10. Revisiting the Long-Run Relationship Between Inward/Outward FDI and Income Inequality: New Evidence from the OECD.

11. The determinants for a circular economy in Europe.

12. Modelling of Returns and Volatility Co-movements of Central European Currencies.

13. The impact of stock market integration on economic growth in Asia and Europe regions.

14. The long-run relationship between R&D and regional knowledge: the case of France, Germany, Italy and Spain.

15. EXCHANGE RATE VOLATILITY AND GROWTH IN EMERGING EUROPE.

16. Defense Spending and Unemployment. Evidence from Southern European Countries.

17. Bivariate cointegration among European monetary system exchange rates.

18. Defence Spending and Economic Growth in the Visegrad Countries.

19. THE EUROPEAN BOND MARKETS LEADERSHIP: EVIDENCE FROM A REGIME SWITCHING EXAMINATION FRAMEWORK.

20. The relationship between macroeconomic variables and stock market indices: evidence from Central and Eastern European countries.

21. ‘A modern-day Icelandic saga’: Political places and negotiating spaces at the northern frontier of ‘EUrope’.

22. Structural Vector Autoregressions With Nonnormal Residuals.

23. Market Integration of Fish in Europe.

24. Common stochastic trends and the dynamic linkages driving european stock markets: evidence from pre- and post-october 1987 crash eras.

25. Searching for price parity in the European whitefish market.

26. Real interest rates in regional economic blocs.

27. Venture Capital and Innovation: Evidence from European Economic Area Countries.

28. Interest Rate Linkages in Europe Before and After the Introduction of the European Monetary System.

29. On Prices of Fresh and Frozen Cod Fish in European and U.S. Markets.

30. PERSPECTIVES ON THE EURO AREA CURRENT ACCOUNT SUSTAINABILITY.

31. Spain and the European sovereign debt crisis.

32. Globalisation and cointegration among the states and convergence across the continents: A panel data analysis.

33. Monetary Determinants of Deposit Euroization in European Post-Transition Countries.

34. Sequencing Asian Regionalism: Theory and Lessons from Europe.

35. IMPACT OF THE GLOBAL CRISIS ON THE LINKAGES BETWEEN CAC 40 AND INDEXES FROM CEE COUNTRIES.

36. European monetary integration and persistance of real exchange rates.

37. Estimating the Equilibrium Effective Exchange Rate for Potential EMU Members.

38. EU Enlargement and the EMU.

39. The Euro and Stock Markets in Hungary, Poland, and UK.

40. Entrepreneurship, small and medium size business markets and European economic integration.

41. Beating the random walk in Central and Eastern Europe.

42. Forecasting inflation in the European Monetary Union: A disaggregated approach by countries and by sectors.

44. The role of sustainability in media and communication studies' curricula throughout Europe.

45. The impact of cultural trade on economic growth.

46. Interdependence between US and European military spending: a panel cointegration analysis (1988-2013).

47. Gini playing soccer.

48. Revisiting the Defense–Growth nexus in European countries.

49. Fiscal Policy in the European Monetary Union.

50. International Natural Gas Market Integration.