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N°168
Q4 2021 |
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Short and long run environmental tax buoyancy in EU-28: a panel study
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Gianluigi De Pascale Mariantonietta Fiore Francesco Contò
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Nowcasting Russian GDP using forecast combination approach
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Michael Zhemkov
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How to simulate international economic sanctions: A multipurpose index modelling illustrated with EU sanctions against Russia
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Morad Bali Nady Rapelanoro
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New insights on the debt-growth nexus: A combination of the interactive fixed effects and panel threshold approach
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Yacouba Kassouri Halil Alt?nta? Erdal Alancio?lu Kacou Yves Thierry Kacou
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Economic sentiment indicators and foreign direct investment: Empirical evidence from European Union countries
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Andrzej Cie?lik Mahdi Ghodsi
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Dependence structure between oil price volatility and sovereign credit risk of oil exporters: Evidence using a copula approach
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Yao Axel Ehouman
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Service characteristics and the choice between exports and FDI: Evidence from Belgian firms
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Leo Sleuwaegen Peter M. Smith
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