Testing stock market convergence: a non-linear factor approach Guglielmo Maria CaporaleBurcu ErdoganVladimir Kuzin Original Paper 30 April 2014 Pages: 481 - 498
Monetary policy and sovereign debt: Does the ECB take the eurozone’s fiscal risks into account? Andrew Hughes HallettJohn Lewis Original Paper 22 May 2014 Pages: 499 - 520
Sustainability of local government debt: a case study of Austrian municipalities Johann BröthalerMichael GetznerGottfried Haber Original Paper 20 May 2014 Pages: 521 - 546
A hysteresis model-based indicator for employment adjustment rigidity Paulo Ricardo MotaJosé VarejãoPaulo B. Vasconcelos Original Paper 11 June 2014 Pages: 547 - 569
Euro area financial shocks and economic activity in The Netherlands Jürgen AntonyD. Peter Broer Original Paper 12 June 2014 Pages: 571 - 595
Non-linearity, persistence and spillover effects in stock returns: the role of the volatility index Po-Chin WuSheng-Chieh PanXue-Ling Tai Original Paper 19 June 2014 Pages: 597 - 613
Disentangling different patterns of business cycle synchronicity in the EU regions Ageliki AnagnostouIoannis PanteladisMaria Tsiapa Original Paper 24 June 2014 Pages: 615 - 641
Financial integration, push factors and volatility of capital flows: evidence from EU new member states Tomislav Globan Original Paper 24 June 2014 Pages: 643 - 672
Impulse response analysis and Orcutt’s hypothesis in trade Mohsen Bahmani-OskooeeEsmaeil Ebadi Original Paper 24 July 2014 Pages: 673 - 683