Panoeconomicus

Papers
(The TQCC of Panoeconomicus is 2. 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 2022-01-01 to 2026-01-01.)
ArticleCitations
Hyperinflation and stabilization in FR Yugoslavia: 1992-199413
Economic growth determinants in old and new EU countries10
Volatility spillover networks of credit risk: Evidence from ASW and CDS spreads in Turkey and Brazil10
The impact of obesity and income on happiness: Evidence from EU countries9
Behavioural responses to taxes and optimal taxation of top labour incomes in Croatia8
Financial development and poverty reduction in developing countries: The role of entrepreneurial activity8
The oil market and macroeconomic stability: What is the role of policy uncertainty?7
Impact of Turkish policy reform on labor force status of disabled males: A difference-in-difference analysis6
Navigating the moral economy: An integrative review6
Hyperinflation and banks5
Examining driving forces of arms production: Security demand or economic needs-world’s largest defense companies5
Explosive behavior and rational bubbles: Evidence from the Serbian hyperinflation at daily frequency5
The impact of economic and institutional factors on international migration flows: Evidence from Turkey5
Yugoslav hyperinflations and our saviors5
The finance-growth nexus in the age of financialisation: An empirical reassessment for the European Union countries4
The relationship between public debt and income inequality in advanced and developing economies: Empirical evidence on the difference4
Is there a relationship between financial development and geopolitical risk indices and sustainable development goals? A study on E3 countries4
The quest for macroeconomic stability under sanctions and weak state4
Interaction of monetary and fiscal policy from a historical perspective: Precious metals and Venetian government debt4
The developmental state in the 21st century: A critical analysis and a suggested way forward4
Testing for causality between remittances and inflation: Evidence from Central and Eastern Europe3
Labour market reforms in brazil (2017-2021): An analysis of the effects of recent flexibilization on labor market legislation3
Operationalizing smart specialization in a Portuguese follower region3
Epistemological and ontological indeterminism: Hayek and Schumpeter3
The impact of financial access on income inequality: Evidence from panel data estimation2
Spread determinants in corporate bond pricing: The effect of market and liquidity risks2
The effect of institutional quality on banking performance in emerging countries2
The redistribution of freedom: Normative analysis of the universal basic income2
Uncertainty and demand for business loans: A study of selected countries in the euro area2
The attribution of causality, perception of responsibility, and preferred generic means of life distribution2
Is information and communication technology a productivity drain or gain? Evidence from the health services sector in China2
Dynamic price and volatility relationships between crypto returns and twitter- based economic uncertainty2
The impact of excess capacity on the investment falloff2
The application of quasi-experimental approaches to the analysis of the relationship between employment and health2
The short- and long-run relationship between house prices and bank credit in developed and emerging market economies: A comparative study2
Testing the EKC hypothesis using ecological footprint by considering biocapacity and human capital in Türkiye: A dynamic analysis2
An in-depth analysis of the relation of health and poverty in Europe2
Unraveling the causal link between corruption and happiness: Insights from developing and advanced economies2
The impact of fiscal policy on the economic growth of OECD members between 1985 and 20152
Sectoral distribution of FDI and employment: Evidence from post- transitional European countries2
Relation between liquidity creation, profitability, and regulatory capital for Islamic and conventional banks in GCC countries2
The nonlinear effects of ownership concentration and board structure on bank performance2
Students’ comprehension of the Greek economic crisis through an introductory macroeconomics course2
A qualitative and quantitative approach to the drivers of economic growth in the EU2
On the robustness of portfolio diversification benefits within MENA stock markets2
Income convergence and divergence in European regions: Insights and policy implications2
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