Journal of Economic Studies
1974 - 2025
Current editor(s): Prof Mohsen Bahmani-Oskooee From Emerald Group Publishing Limited Bibliographic data for series maintained by Emerald Support (). Access Statistics for this journal.
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Volume 52, issue 9, 2025
- Cultural heritage participation in Italy: the role of human and social capital pp. 1-17

- Damiano Fiorillo and Ferdinando Ofria
- Barriers to innovation and patenting. Evidence from European family and non-family firms pp. 18-35

- Francesco Aiello, Lucia Errico, Lidia Mannarino and Valeria Pupo
- A research note on the Brexit referendum and regional unemployment in the UK: a synthetic control method approach pp. 36-47

- Elissaios Papyrakis, Lorenzo Pellegrini and Luca Tasciotti
- Wage differentials by fields of study among college graduates in Turkey: a decomposition analysis pp. 48-68

- Antonio Di Paolo and Aysit Tansel
Volume 52, issue 4, 2024
- The intersection between traditional roles and a fragmented labor market: a propensity score matching analysis of gender wage gap in Ecuador pp. 633-654

- Sara Caria and Jorge Yepez
- Connectivity among the returns of sectoral indices of the Brazilian capital market pp. 655-672

- Mathias Schneid Tessmann, Marcelo De Oliveira Passos, Omar Barroso Khodr, Alexandre Vasconcelos Lima and Vinícius Braga
- Foreign direct investment, economic growth and environmental quality in Africa: revisiting the pollution haven and environmental Kuznets curve hypotheses pp. 673-691

- Elvis Achuo and Nathanael Ojong
- What drives household credit in France? pp. 692-708

- Panos Xidonas, Dimitris Thomakos, Aristeidis Samitas, Ilias Lekkos and Annie Triantafillou
- What drives the price behavior of US sustainable stocks? pp. 709-727

- Walid M.A. Ahmed
- Elementary education outcome efficiency of Indian state governments: a generalized stochastic frontier approach pp. 728-741

- Jyotsna Rosario and K.R. Shanmugam
- Financial stability and financial inclusion: a non-linear nexus pp. 742-761

- Jeleta Gezahegne Kebede, Saroja Selvanathan and Athula Naranpanawa
- Effects of Israel-Iran conflict: insights on global stock indices and currencies pp. 762-783

- Dharen Kumar Pandey
- Deposit insurance and financial inclusion pp. 784-802

- Ibrahim Alley
- Cross-border ripples: investigating stock market responses to Israel-Hamas conflict in trading partner nations using event study method pp. 803-823

- Anindita Bhattacharjee, Neeru Sidana, Richa Goel, Anagha Shukre and Tilottama Singh
- Ex-post credit risk and the cyclicality of banks’ self-discipline: empirical evidence from US banks pp. 824-839

- Athanasios Tsagkanos and Konstantinos Andriakopoulos
Volume 52, issue 3, 2024
- Why does the nexus between finance and income inequality break in times of financialisation? Empirical evidence for the European Union countries pp. 449-463

- Ricardo Barradas
- Competency and efficacy of energy futures: empirical investigation from emerging economy pp. 464-480

- Laxmidhar Samal
- Asymmetric responses of foreign investors to fiscal stress pp. 481-499

- Engy Raouf
- Path to achieving SDG 8: do worker remittances reduce vulnerable employment? pp. 500-517

- Sridevi Yerrabati
- Revisiting the interest rate-investment nexus in India: fresh perspective from non-parametric analysis pp. 518-531

- Riya Bindra, Amrendra Pandey, Pooja Misra and Jagdish Shettigar
- Role of ESG and private equity on environmental degradation: a nexus of opportunity and responsibility for developing and developed countries pp. 532-548

- Kunjana Malik and Sakshi Sharma
- Differential impact of money growth on inflationary outcomes: evidence from emerging markets using panel NARDL approach pp. 549-565

- Aakanksha Shrawan and Amlendu Dubey
- Cross-border investment, international consolidation and reversal of US stock exchanges: the gift and the curse of being too big, too liquid and too visible pp. 566-587

- Maela Giofré
- Examining the dynamics of risk associated with green investment in India: a study on fintech and green bonds for clean energy production pp. 588-604

- Nenavath Sreenu
- Effects of adverse geopolitical risk on price bubbles contagion from European natural gas prices to international energy prices pp. 605-619

- Jamilu Iliyasu, Suleiman Mamman, Attahir B. Abubakar and Aliyu Sanusi
- Trust in the pension system and housing investment pp. 620-631

- Hassan Gholipour Fereidouni, Reza Tajaddini and Amir Arjomandi
Volume 52, issue 2, 2024
- How do financial inclusion and bank stability explain agricultural productivity in Sub-Saharan Africa? pp. 225-238

- Isaac Kofi Bekoe, Joshua Abor and Samuel Sekyi
- Examining the impact of geopolitical risk on foreign remittances: evidence from top remittances receiving countries pp. 239-253

- Namarta Kumari Bajaj, Ghulam Abbas, Suresh Kumar Rajput Oad and Tariq Aziz Siyal
- Socio-economic dimensions and human centricity in Industry 5.0: a study on manufacturing sectors in central and Eastern European economies pp. 254-275

- Devesh Singh and Viktorija Cohen
- Competition law enforcement and digital platforms non-price competition pp. 276-289

- Svetlana Golovanova and Eduardo Ribeiro
- Does education promote risk-taking? Evidence from Vietnam pp. 290-302

- Dai Binh Tran and Hanh Thi My Tran
- War! Good news for defense firms? Analysis of the impact of Russia–Ukraine conflict pp. 303-321

- António Miguel Martins, Pedro Correia and Ricardo Gouveia
- Beyond the basics: mapping the inflation response to fiscal deficit in India with smooth transition autoregressive model pp. 322-341

- Asif Tariq, Shahid Bashir and Aadil Amin
- Are the synergy of stable energy supply, robust financial service and strong economic growth achievable? Evidence from 134 countries pp. 342-364

- Thanh Pham Thien Nguyen, Son Nghiem and Abhishek Singh Bhati
- Sustainable investing in extreme market conditions: doing well while doing good pp. 365-380

- Abbas Valadkhani and Barry O'Mahony
- An empirical analysis on immigrants and price elasticity in the import demand function pp. 381-392

- Yukio Fukumoto
- Nonlinear impact of financial inclusion on tax revenue: evidence from the Monte-Carlo simulation algorithm under the Bayesian approach pp. 393-411

- Binh Nguyen The, Tran Thi Kim Oanh, Quoc Dinh Le and Thi Hong Ha Nguyen
- The chronic illness of poverty: the effects of microfinance on the severity of poverty and the cost of its eradication pp. 412-429

- Mahmoud Ali Hailat, Mohammad W. Alomari and Ala' Bashayreh
- The impact of fiscal opacity on business confidence: empirical investigation from an emerging economy pp. 430-446

- Helder de Mendonça, Luciano Vereda Oliveira and Matheus Ignacio Santos Dias
Volume 52, issue 1, 2024
- Impact of sub-national synchronization on the behavior of national business cycles in emerging economies with inflation targeting pp. 1-16

- Alcides J. Padilla and Jorge David Quintero Otero
- Role of labor market dynamics in influencing global female labor force participation pp. 17-37

- Tanaya Saha and Prakash Singh
- Ethnic minorities and income inequality: the Albanian community in Italy pp. 38-54

- Lucia Errico, Andrea Mosca and Sandro Rondinella
- Gauging the dynamic interlinkage level between Fintech and the global blue economy performance pp. 55-71

- Le Thanh Ha
- Determinants of older people labour market decision in Ghana pp. 72-87

- Kwadwo Opoku, George Domfe and Emmanuel Adu Boahen
- Is cryptocurrency a new digital gold? Evidence from the macroeconomic shocks in selected emerging economies pp. 88-103

- Sayantan Bandhu Majumder
- The role of Covid-19 policy responses on GVC participation: the Turkish experience pp. 104-118

- Abdullah Altun, Pınar Tat and Halit Yanıkkaya
- Climate change-stock return volatility nexus in advanced economies: the role of technology shocks pp. 119-135

- Dinci J. Penzin, Kazeem O. Isah and Afees Salisu
- How does governance quality affect the shadow economy-sustainable development nexus? New insights from a dynamic threshold analysis pp. 136-160

- Nadia Assidi, Ridha Nouira, Sami Saafi, Walid Abdelfattah and Sami Ben Mim
- Financial inclusion and sustainable development of banks: the place of organization of Islamic cooperation (OIC) in emerging markets pp. 161-178

- Hasan Tekin
- Green bonds forecasting: evidence from pre-crisis, Covid-19 and Russian–Ukrainian crisis frameworks pp. 179-193

- Souhir Amri Amamou, Mouna Ben Daoud and Saoussen Aguir Bargaoui
- Does government spending cointegrate with bank lending? Evidence from Eurozone panel data pp. 194-202

- Eleni Dalla, Stephanos Papadamou, Erotokritos Varelas and Athanasios Argyropoulos
- A study on comparison of economic and scientific performances of BRICS countries pp. 203-222

- Hasan Tutar, Hakan Eryüzlü, Ahmet Tuncay Erdem and Teymur Sarkhanov
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