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Showing 1-20 of 3,484 results
  1. Target2 imbalances and poverty in the eurozone

    This paper aims to investigate the relationship between external imbalances and poverty in the Eurozone. The former are registered through the...

    Rosaria Rita Canale, G. Liotti in Journal of Evolutionary Economics
    Article Open access 12 November 2022
  2. Asymmetric effects of macro policies on women’s and men’s incomes. An empirical investigation of the eurozone crisis in a gender perspective

    We study how macro policies affected women’s and men’s incomes during the financial crisis in Europe. We consider the monetary stance, proxied by...

    Valeria Cirillo, Marcella Corsi, ... Lucio Gobbi in Economia Politica
    Article Open access 04 April 2024
  3. Monetary Policy Crisis in the Eurozone

    This chapter provides a critical analysis on the monetary considerations in interdependent economies, with reference to the European sovereign debt...
    Chapter 2023
  4. Between the Eurozone crisis and the Brexit: the decade of British outward FDI into Europe

    This paper investigates the determinants of outward foreign direct investment (OFDI) of British multinational firms in the European Union (EU) and...

    Andrzej Cieślik, Oleg Gurshev, Sarhad Hamza in Empirical Economics
    Article Open access 17 December 2021
  5. The Eurozone Crisis and Citizens’ Shattered Systemic Trust

    This contribution examines the impact of the first four years, 2008–2012, of the financial and economic crisis on trust in national and European...
    Chapter Open access 2022
  6. Tax Effort in Eurozone Countries After the Outbreak of the Global Economic Crisis

    The purpose of this article is to assess the tax effort undertaken by Eurozone countries, during the decade that followed the outbreak of the...
    Dimitra Ntertsou, Theophanis Petropoulos, Konstantinos Liapis in Global, Regional and Local Perspectives on the Economies of Southeastern Europe
    Conference paper 2023
  7. Optimum Currency Area in the Eurozone

    We used a Bayesian dynamic factor model (BDFM) to examine the share of variance explained by the European and country factors for 59 regions in...

    Krzysztof Beck, Iana Okhrimenko in Open Economies Review
    Article Open access 06 March 2024
  8. Economic Development and Performance of Eurozone Economies: The Growing Imbalances During the Crisis

    The recent global financial crisis in Europe is defined as a debt crisis and a crisis of sudden stops in capital flows. But to a large extent, it was...

    Pantelis C. Kostis in Journal of the Knowledge Economy
    Article 01 March 2021
  9. Towards a New Euro Crisis?

    There is thus a fundamental credibility issue about the willingness of the ECB to be a lender of last resort in the government bond markets. This...

    Paul De Grauwe in Intereconomics
    Article Open access 01 September 2022
  10. Heterogeneous decision-making and market power: an application to Eurozone banks

    We provide a structural model wherein the decision-makers are payoff maximizers in a general game theoretic setting in which heterogeneity is...

    Levent Kutlu, Robin C. Sickles, ... Emmanuel Mamatzakis in Empirical Economics
    Article 04 May 2022
  11. Eurozone: Crisis, Policies and Reforms

    This chapter reviews the recent economic situation, trends and perspectives of the Eurozone. First, we summarize the main features of the double...
    Enrico Marelli, Marcello Signorelli in Comparative Economic Studies in Europe
    Chapter 2021
  12. Absolute Poverty and Sound Public Finance in the Eurozone

    The respect of fiscal parameters is supposed to be – according to the official position of the European institutions – the best recipe for granting...

    Rosaria Rita Canale, Giorgio Liotti in The Journal of Economic Inequality
    Article Open access 30 October 2021
  13. 50 Years of Capital Mobility in the Eurozone: Breaking the Feldstein-Horioka Puzzle

    This paper assesses capital mobility for the Eurozone countries by studying the long-run relationship between domestic investment and savings for the...

    Mariam Camarero, Alejandro Muñoz, Cecilio Tamarit in Open Economies Review
    Article Open access 01 November 2021
  14. How Large Is the Risk of Stagflation in the Eurozone?

    The rapid recovery of demand combined with supply constraints has led to rising prices during the past months. This is evident in oil and gas...

    Markus Demary, Michael Hüther in Intereconomics
    Article Open access 01 January 2022
  15. The Impact of Energy Crisis and the Military Conflict in Ukraine on the Economy in the Eurozone and in the Republic of North Macedonia

    The current economic crisis is specific in many respects. Its beginnings are related to the COVID-19 pandemic emergence and the measures taken to...
    Conference paper 2023
  16. Pandemic pushes polarisation: the Corona crisis and macroeconomic divergence in the Eurozone

    This paper discusses the uneven consequences of the macroeconomic fallout from the Coronavirus and related economic policy responses against the...

    Claudius Gräbner, Philipp Heimberger, Jakob Kapeller in Journal of Industrial and Business Economics
    Article Open access 10 July 2020
  17. Are the Eurozone Financial and Business Cycles Convergent Across Time and Frequency?

    This paper examines the Eurozone (EZ) convergence through Financial and Business cycles frequencies over time. Specifically, I use the Maximum...

    Dalia Mansour-Ibrahim in Computational Economics
    Article 30 January 2022
  18. Income Inequality in the Over-Indebted Eurozone Countries and the Role of the Excessive Deficit Procedure

    The present study identifies economic, political, and institutional variables that influence the distribution of personal incomes in the Eurozone...

    George Petrakos, Kostas Rontos, ... Ioannis Vavouras in Open Economies Review
    Article 08 June 2023
  19. Sovereign contagion risk measure across financial markets in the eurozone: a bivariate copulas and Markov Regime Switching ARMA based approaches

    This paper analyzes sovereign risk contagion across financial markets in the eurozone during and after the European debt crisis. A particular focus...

    Sawsen Bouker, Faysal Mansouri in Review of World Economics
    Article 13 November 2021
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