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Eurasian Economic Review
Title
Publication Date
Language
Citations
Asset price volatility and financial contagion: analysis using the MS-VAR framework
2014/11/11
English
16
Trade liberalization and tax revenue in transition: an empirical analysis of the replacement strategy
2015/08/13
English
15
Exogeneity of world oil prices to the Russian Federation’s economy and monetary policy
2018/09/26
English
15
Impact of macroeconomic cyclical indicators and country governance on bank non-performing loans in Emerging Asia
2020/10/06
English
14
Portfolio and hedging effectiveness of financial assets of the G7 countries
2018/02/19
English
14
COVID-19: stress-testing non-financial companies: a macroprudential perspective. The experience of Poland
2021/03/03
English
14
Gender, caste and poverty in India: evidence from the National Family Health Survey
2015/12/14
English
14
Impact of public and private sector external debt on economic growth: the case of Portugal
2020/09/10
English
13
Ownership structure and firm patenting activity in Italy
2018/06/23
English
13
India’s comparative advantages in services trade
2018/02/12
English
13
Monetary policy challenges: how central banks changed their modus operandi
2014/06/01
English
13
Political regimes and stock market development
2015/04/28
English
13
Analysis of international trade integration of Eurasian countries: gravity model approach
2021/03/13
English
13
THE IMPACT OF OWNERSHIP CONCENTRATION, COMMISSIONERS ON BANK RISK AND PROFITABILITY: EVIDENCE FROM INDONESIA
2013/12/25
13
Optimal output for the regret-averse competitive firm under price uncertainty
2015/07/31
English
12
Role of governance on performance of microfinance institutions in Bangladesh
2018/04/18
English
12
Can tax simplification help lower tax corruption?
2015/04/23
English
12
US banks in the time of COVID-19: fresh insights from the wavelet approach
2021/04/28
English
12
Volatility transmission in the South African white maize futures market
2019/04/05
English
11
Risk assessment of the local government sector based on the ratio analysis and the DEA method. Evidence from Poland
2017/07/03
English
11
Reassessing the environmental Kuznets curve: a summability approach for emerging market economies
2019/03/27
English
11
Testing for asymmetric non-linear short- and long-run relationships between crypto-currencies and stock markets
2022/04/08
English
11
Japan’s monetary policy in a challenging environment
2014/06/01
English
10
A new evidence from the effects of Russia’s WTO accession on its foreign trade
2017/09/01
English
10
Does corporate governance really matter for bank efficiency? Evidence from ASEAN countries
2020/06/30
English
10
A survival analysis in the assessment of the influence of the SARS-CoV-2 pandemic on the probability and intensity of decline in the value of stock indices
2021/03/17
English
10
Economic diversification and human development in Europe
2020/02/12
English
9
Tax reform and fiscal space in developing countries
2019/08/13
English
9
Effectiveness of monetary policy: evidence from Turkey
2017/03/01
English
9
An analysis of COVID-19 and WHO global research roadmap: knowledge mapping and future research agenda
2021/11/09
English
9
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