Panoeconomicus

Papers
(The median citation count of Panoeconomicus is 0. The table below lists those papers that are above that threshold based on CrossRef citation counts [max. 250 papers]. The publications cover those that have been published in the past four years, i.e., from 2021-02-01 to 2025-02-01.)
ArticleCitations
Yield curve as forward indicator of recession: Austrian economics insights9
Avramovic’s contribution to the transition to market economy in Yugoslavia5
Assessing the impacts of financial stress on the yield spreads of Poland, Mexico and South Africa5
Epistemological and ontological indeterminism: Hayek and Schumpeter4
Using bootstrap fourier granger causality test in quantiles to re-examine Pollution Haven/Halo hypotheses in China and G3 countries4
Effect of the monetary policy in the United States on the international share of the U.S. Dollar: 1914-19454
The US banking system: Does the size of the institution matter to its economic-financial situation?4
Youth emancipation and the labour market in Spain4
Skill versus inequality4
The impact of excess capacity on the investment falloff3
Management of a strategic policy, exports and external performance of the Colombian regions3
Labour market reforms in brazil (2017-2021): An analysis of the effects of recent flexibilization on labor market legislation3
Hyperinflation and stabilization in FR Yugoslavia: 1992-19942
Financial development, income inequality and governance institutions2
An in-depth analysis of the relation of health and poverty in Europe2
Testing for causality between remittances and inflation: Evidence from Central and Eastern Europe2
Validity of Okun’s Law in a spatially dependent and cyclical asymmetric context2
The effects of structural change on economic growth: A panel data analysis2
Does central bank independence contribute to fiscal prudence in EU countries?2
The impacts of the Brazilian Labour Reform on employment, output, and labour productivity2
The influences of the US stock market on virtual currency price under us monetary policy threshold2
Structural change, labor market and employment in brazil after the 2017 labor market reform2
Real exchange rate, wage-led policies, and demand growth in Brazil: A regime switching and time sensitive study1
The communication effects on inflation forecast errors: Empirical evidence from Colombia1
Undesired consequences of labour market reforms: From temporary to precarious jobs - the case of Spain1
A compound Tobin tax: A political economy investigation1
The perpetuation of stratification in market environments - markets and corporate power, institutions, and complex systems dynamics1
Does innovation co-move with FDI? Evidence from OECD countries1
Cryptocurrency returns and volatility spillover during an era of uncertainty: COVID-19 and VIX1
ECOWAS common currency, a mirage or possibility?1
Link between tangible investment rate and labour productivity in the European manufacturing industry1
Does digital economy promote sustainable development: Case of EU countries?1
Contingent claims analysis as a credit risk metric: Evidence from Turkey1
A qualitative and quantitative approach to the drivers of economic growth in the EU1
Asymmetric adjustment between oil prices and the consumer price index in Malaysia: Evidence from aggregated and disaggregated levels1
A volatility spillover analysis between bond and commodity markets as an indicator for global liquidity risk1
The impact of obesity and income on happiness: Evidence from EU countries1
Dragoslav Drag Avramovic: Probing the limits of development and stabilization policy1
Growth and welfare effects of education: Evidence from Asian countries1
Nexus between economic freedom and bank risk-taking: Evidence from us commercial banks1
Uncertainty and demand for business loans: A study of selected countries in the euro area1
Economic growth determinants in old and new EU countries1
Spillover impact of the US unconventional monetary policy and uncertainties on stock-bond correlations1
Operationalizing smart specialization in a Portuguese follower region1
Financial development and poverty reduction in developing countries: The role of entrepreneurial activity1
Volatility spillover networks of credit risk: Evidence from ASW and CDS spreads in Turkey and Brazil1
Spillovers of monetary policy shocks on financial markets during the crisis: Serbia and euro zone1
The behavior of stock market index during the coronavirus pandemic in Turkey1
The impact of higher education on global competitiveness: A panel data analysis for OECD countries1
The asymmetric effects of third-country exchange rate volatility on Turkish-German commodity trade0
Regional income convergence in Turkey: An empirical analysis from an endogenous growth perspective0
Key sector analysis by IO networks: Evidence from Turkey0
The attribution of causality, perception of responsibility, and preferred generic means of life distribution0
Testing the efficiency of emerging markets: Evidence from nonlinear panel unit tests0
Expansionary monetary policy vs. bank concentration: The Eurozone & other European countries0
Economic growth, energy consumption, and trade openness nexus: Evidence from net energy importing middle-income countries0
The impact of fiscal policy on the economic growth of OECD members between 1985 and 20150
The role of housing-dominated attributes in housing booms: Evidence from China0
A monetary model of exchange rate beats the random walk forecast even at a short horizon: Evidence from the Serbian hyperinflation at daily frequency0
No longer a safe haven currency? A fresh evidence of Japanese yen under uncertainty0
An emprical study to investigate the size of non-governmental organizations in OECD countries0
Sectoral distribution of FDI and employment: Evidence from post- transitional European countries0
Revealing asymmetric spillover effects in hazelnut, gasoline, and exchange rate markets in Turkey: The VECM-BEKK-MGARCH approach0
Stability and asymmetry in Okun’s law: Evidence from Spanish regional data0
Is global climate change affecting intra-industry trade? Econometric evidence for the fisheries sector in Turkey0
The effects of the volatilities in global determinants on the Istanbul stock exchange0
Is the performance of shares in the stock market affected by monetary policy change and the transmission channel of exchange rate? - The case of Turkey0
Testing the triple deficits in the emerging economies of Europe0
The early prediction of bank defaults by central banks0
Students’ comprehension of the Greek economic crisis through an introductory macroeconomics course0
Income inequalities in the accelerating digital era: Evidence from EU countries and COVID-time0
The Eurasian Economic Union in search of strategic partners: The gravity effects of integration blocs0
The nonlinear effects of ownership concentration and board structure on bank performance0
The effects of reference pricing on housing market: Evidence from Shenzhen China0
The finance-growth nexus in the age of financialisation: An empirical reassessment for the European Union countries0
Problems and challenges of Avramovic stabilization program quarter of a century later0
Efficiency evaluation of Taiwan’s commercial banks after IFRS adoption: A two-system network data envelopment approach0
The developmental state in the 21st century: A critical analysis and a suggested way forward0
Interaction of monetary and fiscal policy from a historical perspective: Precious metals and Venetian government debt0
Reassessing the public debt threshold in the EU: Do macroeconomic conditions matter?0
Spread determinants in corporate bond pricing: The effect of market and liquidity risks0
Explosive behavior and rational bubbles: Evidence from the Serbian hyperinflation at daily frequency0
Coup d'état and economic growth in Turkey: Evidence from ARDL bounds testing procedure0
Why the increase in the retirement age will lead to more inequality and poverty? An ignored fairness problem0
Target2 imbalances and the ECB’s asset purchase programme. An alternative account0
Olivera, Tanzi, Milosevic: Why was Avramovic’s programme adopted?0
The moderating effect of social capital on fiscal policy responses to COVID-19: Cross-country evidence0
The redistribution of freedom: Normative analysis of the universal basic income0
The application of quasi-experimental approaches to the analysis of the relationship between employment and health0
The Buchanan-Wagner hypothesis: Revisiting the theory with new empirics for a spendthrift democracy0
A proper developmental state framework for Greece0
The quest for macroeconomic stability under sanctions and weak state0
The relationship between economic growth and finance of the social security sector: Evidence from EU countries0
The relationship between public expenditures and economic growth in the scope of economic classification: The case of Turkiye0
Toward a cashless society: Cash and non-cash payments in Spain, 1989-20140
Income convergence and divergence in European regions: Insights and policy implications0
Are financial stocks driven by substantive factors or virtual factors? Comparing Taiwan and China markets0
The short- and long-run relationship between house prices and bank credit in developed and emerging market economies: A comparative study0
Hyperinflation and banks0
Testing the EKC hypothesis using ecological footprint by considering biocapacity and human capital in Türkiye: A dynamic analysis0
The military expenditures and economic growth nexus: Panel bootstrap granger causality evidence from NATO countries0
The role of destructive mechanisms within economic evolution0
The relationship between public debt and income inequality in advanced and developing economies: empirical evidence on the difference0
Economic, geographical, institutional, and political determinants of bilateral manufacturing exports: A structural gravity model approach for Türkiye0
The impacts of openness and global value chains on the performance of Turkish sectors0
An empirical assessment of the relationship between life expectancy at birth and carbon dioxide emissions in 27 European Union countries0
Is world trade slowing down? New evidence on trade-income elasticity0
Yugoslav hyperinflations and our saviors0
Testing the relationship between investor risk appetite and country risk: The case of Turkey0
Impact of Turkish policy reform on labor force status of disabled males: A difference-in-difference analysis0
Evaluating the critical factors of tax evasion in business tax using a novel network decision support model0
The nexus between household consumption, consumer protection, and consumer confidence in European countries. A statistical-mathematical analysis0
The political determinants of inward FDI0
The effect of health on economic growth: A production function approach for Turkey0
The effect of institutional quality on banking performance in emerging countries0
A spatial analysis of happiness0
Revisiting monetary policy effectiveness in Turkey using a FAVAR model0
Foreign direct investment, corruption, and institutional reforms0
Political economy of economic policy - the monetary reconstruction program (Serbia 1994) as a case study0
Joseph A. Schumpeter and Schumpeterian paradigm on the dynamics of capitalism: Entrepreneur, innovation, growth, and trade0
Is there a relationship between financial development and geopolitical risk indices and sustainable development goals? A study on E3 countries0
Is information and communication technology a productivity drain or gain? Evidence from the health services sector in China0
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