All Stories

  1. Impact of ESG practices and economic volatility on firm performance in the US IT Sector: Evidence from 2010–2022
  2. Institutions Beyond Quality: How Legislation and Execution Shape the Global Energy Transition
  3. Financial innovation and clean energy technology development: Policy vs. geopolitics
  4. Navigating turbulence: How do geopolitical risks and oil price shocks shape global equity markets? A GVAR approach
  5. Recycling through technology diffusion for circular economy in Europe: A decomposed assessment
  6. European industrial production in the face of energy dynamics and geopolitical shocks
  7. Do financial development and institutional quality impede or stimulate the shadow economy? A comparative analysis of developed and developing countries
  8. Response of financial stress in Russia, China, and USA: the role of global geopolitical and economic uncertainty
  9. Transmission and Volatility Mechanisms of Mineral and Oil Prices in the Context of Clean Energy Transition: A Global Perspective
  10. Geopolitical risk and natural resources: A comparative analysis of trade integration in the African and European Unions
  11. Government policy innovation in spurring nascent entrepreneurship during pandemic
  12. The Nexus Between ICT Diffusion and Income Disparity: Insights from Post-soviet Economies
  13. Exploring the Dynamics of the Finance-Growth Nexus: Trade Globalization, Business Potential, and Geopolitical Implications in Russian Regions
  14. The dynamic response of Russian exchange rate to precious metals and minerals prices
  15. Oil market cyclical shocks and fiscal stance in OPEC+
  16. Does ICT diffusion validate skill-biased technological change hypothesis? Evidence from the post-Soviet countries
  17. Governance, fiscal expenditure, and economic growth in OIC countries: Role of natural resources and information communication technology
  18. Proven reserve oil and renewable energy nexus: Efficacy of policy stringency
  19. Russian Currency's external shocks and domestic policy effectiveness amid geopolitical tensions
  20. Mineral import demand-driven solar energy generation in China: A threshold estimation using the counterfactual shock approach
  21. Oil shocks and financial stability in MENA countries
  22. THE RESPONSE OF BRICS TRADE INTEGRATION TO GEOPOLITICAL RISKS
  23. The responsiveness of renewable energy production to geopolitical risks, oil market instability and economic policy uncertainty: Evidence from United States
  24. Distributional Growth Paradigm in the Strategies of Sustainable Regional Development
  25. Spillovers effect of gas price on macroeconomic indicators: A GVAR approach
  26. Climate change and inclusive growth in Africa
  27. Inclusive growth in Africa: Do fiscal measures matter?
  28. Good for the planet, good for the wallet: The ESG impact on financial performance in India
  29. Costs of economic growth: new insights on wealth and income inequalities in the post-communist countries
  30. Mineral import demand and wind energy deployment in the USA: Co-integration and counterfactual analysis approaches
  31. Response of Indonesian mineral supply to global renewable energy generation: Analysis based on gravity model approach
  32. Volatility transmission from critical minerals prices to green investments
  33. Impact of Sectoral Infrastructure on Export and Foreign Direct Investment Inflow: Evidence from Selected South Asian Economies by Applying a New Global Infrastructure Index
  34. Frequency connectedness and cross-quantile dependence among medicare, medicine prices and health-tech equity
  35. Geopolitical risks and mineral-driven renewable energy generation in China: A decomposed analysis
  36. Inclusive Growth and Structural Transformation: The Role of Innovation and Digitalisation Spillover
  37. Oil Price Shocks to Foreign Assets and Liabilities in Saudi Arabia under Pegged Exchange Rate
  38. Do the Inward and Outward Foreign Direct Investments Spur Domestic Investment in Bangladesh? A Counterfactual Analysis
  39. Food inflation and geopolitical risks: analyzing European regions amid the Russia-Ukraine war
  40. Ambidextrous positioning of Asian IVCs and CVCs from a knowledge-based view
  41. Capital market deepening, Governor’s characteristics and Russian regional enterprises: A big data analysis
  42. Mineral import demand and clean energy transitions in the top mineral-importing countries
  43. Does infrastructural development allure foreign direct investment? The role of Belt and Road Initiatives
  44. The response of exchange rate to coal price, palm oil price, and inflation in Indonesia: Tail dependence analysis
  45. Does transport infrastructure spur export diversification and sophistication in the G-20 economies? An application of CS-ARDL
  46. Hydrocarbon prices shocks, fiscal stability and consolidation: Evidence from Russian Federation
  47. Income from international tourism and domestic investment in South Asia: evidence from heterogeneous panel econometrics
  48. The interaction of finance and innovation for low carbon economy: Evidence from Saudi Arabia
  49. The response of exchange rates to economic policy uncertainty: Evidence from Russia
  50. Research methods in economics and its implications for capital formation
  51. Assessment of Nexus between energy consumption and sustainable development in Russian Federation: A disaggregate analysis
  52. Policy Uncertainty, Oil Price, Stock Market and Precious Metal Markets Volatility Spillovers in the Russian Economy
  53. Information digitalisation and local institutional agility: evidence from ASEAN countries
  54. The fracking boom and crime rates in rural American states: Some critical insights
  55. Customer engagement in innovative smart grid deployment projects: evidence from Russia
  56. The Spillover of Inflation among the G7 Countries
  57. Effects of R&D spending on productivity of the Russian firms: does technological intensity matter?
  58. The influence of ICT diffusion and globalization on the quality of governance: A study using panel data from ASEAN countries
  59. Outflow FDI and Domestic Investment: Aggregated and Disaggregated Analysis
  60. Revising environmental Kuznets curve in Russian regions: role of environmental policy stringency
  61. Renewable energy and total factor productivity in OECD member countries
  62. The Influence of ICT on the Control of Corruption
  63. Innovation, militarization, and renewable energy and green growth in OECD countries
  64. Dynamic Impact of Banking Performance on Financial Stability: Fresh Evidence from Southeastern Europe
  65. Interest rate and income disparity: Evidence from Indonesia
  66. The force of globalization reshaping the local institutions: evidence from the Organization of Islamic Cooperation member countries
  67. Nonlinear relationship between economic growth and nuances of globalisation with income stratification: Roles of financial development and governance
  68. Stock market development and low-carbon economy: The role of innovation and renewable energy
  69. A cointegration analysis of structural change, international tourism and energy consumption on CO2 emission in Pakistan
  70. Environmental policy effectiveness on residential natural gas use in OECD countries
  71. The Impact of OFDI and Institutional Quality on Domestic Capital Formation at the Disaggregated Level: Evidence for Developed and Emerging Countries
  72. The financial development-environmental degradation nexus in the United Arab Emirates: the importance of growth, globalization and structural breaks
  73. Equity market and money supply spillovers and economic growth in BRICS economies: A global vector autoregressive approach
  74. Impact of the Economy Digitalization on Welfare in the Developed and Developing Countries
  75. Women at work in Saudi Arabia: Impact of ICT diffusion and financial development
  76. Institutional quality, political risk and tourism
  77. Green economic growth, cleaner energy and militarization: Evidence from Turkey
  78. Comparative study on finance‐growth nexus in Malaysia and Indonesia: Role of institutional quality
  79. Connectedness among crude oil prices, stock index and metal prices: An application of network approach in the USA
  80. Re-visiting environmental Kuznets curve: role of scale, composite, and technology factors in OECD countries
  81. Renewable and non-renewable energy use and its relationship with economic growth in Myanmar
  82. Financial markets, innovations and cleaner energy production in OECD countries
  83. The effects of electricity consumption, economic growth, financial development and foreign direct investment on CO 2 emissions in Kuwait
  84. Institutional Quality Financial Development and Growth MENA Countries
  85. Governance, resources and growth
  86. Hiring and Separation Rates Before and after the Arab Spring in the Tunisian Labour Market
  87. Sectoral output, energy use, and CO2 emission in middle-income countries
  88. Health related quality of life of diabetic children and factors affecting it in Sohag University Hospital, Sohag, Egypt
  89. Biomass energy, technological progress and the environmental Kuznets curve: Evidence from selected European countries
  90. Does remittance fuel labour productivity in Bangladesh? The application of an asymmetric non-linear ARDL approach
  91. The Finance-Growth Nexus: Which Factors Can Interfere?
  92. Economic Development in the Middle East and North Africa
  93. Dynamics of energy use, technological innovation, economic growth and trade openness in Malaysia
  94. Can Zakat System Alleviate Rural Poverty in Bangladesh? A Propensity Score Matching Approach
  95. Remittance and domestic labor productivity: Evidence from remittance recipient countries
  96. Finance and Cleaner Energy
  97. Revisiting the dynamic effect of foreign direct investment on economic growth in LDCs
  98. Dynamic impact of financial development on economic growth: heterogeneous panel data analysis of island economies
  99. CO 2 emissions, energy consumption, economic and population growth in Malaysia
  100. Dynamic impact of household consumption on its CO2 emissions in Malaysia
  101. Regional differences in the dynamic linkage between CO2 emissions, sectoral output and economic growth
  102. Opinion of the zakat recipients on their food security: a case study on Bangladesh