# | Title | Journal | Year | Citations |
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1 | Testing for Granger non-causality in heterogeneous panels | Economic Modelling | 2012 | 3,267 |
2 | How's life? Combining individual and national variables to explain subjective well-being | Economic Modelling | 2003 | 1,018 |
3 | CO2 emissions, economic growth, energy consumption, trade and urbanization in new EU member and candidate countries: A panel data analysis | Economic Modelling | 2015 | 962 |
4 | The impact of financial development, income, energy and trade on carbon emissions: Evidence from the Indian economy | Economic Modelling | 2014 | 608 |
5 | The effects of FDI, economic growth and energy consumption on carbon emissions in ASEAN-5: Evidence from panel quantile regression | Economic Modelling | 2016 | 604 |
6 | Exports and growth: Granger causality analysis on OECD countries with a panel data approach | Economic Modelling | 2006 | 542 |
7 | Does financial development reduce CO2 emissions in Malaysian economy? A time series analysis | Economic Modelling | 2013 | 516 |
8 | Can volume predict Bitcoin returns and volatility? A quantiles-based approach | Economic Modelling | 2017 | 505 |
9 | Financial development and energy consumption nexus in Malaysia: A multivariate time series analysis | Economic Modelling | 2013 | 455 |
10 | A contribution of foreign direct investment, clean energy, trade openness, carbon emissions and economic growth to energy demand in UAE | Economic Modelling | 2014 | 455 |
11 | Causal interactions between CO2 emissions, FDI, and economic growth: Evidence from dynamic simultaneous-equation models | Economic Modelling | 2014 | 446 |
12 | Correlations and volatility spillovers across commodity and stock markets: Linking energies, food, and gold | Economic Modelling | 2013 | 411 |
13 | The impact of digital finance on household consumption: Evidence from China | Economic Modelling | 2020 | 391 |
14 | Financial development, trade openness and economic growth in African countries: New insights from a panel causality approach | Economic Modelling | 2014 | 389 |
15 | Financial development and economic growth nexus in the MENA countries: Bootstrap panel granger causality analysis | Economic Modelling | 2011 | 367 |
16 | Corporate social responsibility and financial performance: A non-linear and disaggregated approach | Economic Modelling | 2016 | 342 |
17 | An area-wide model for the euro area | Economic Modelling | 2005 | 324 |
18 | Testing for Granger causality in heterogeneous mixed panels | Economic Modelling | 2011 | 318 |
19 | Return and volatility transmission between world oil prices and stock markets of the GCC countries | Economic Modelling | 2011 | 304 |
20 | Does gold act as a hedge or a safe haven for stocks? A smooth transition approach | Economic Modelling | 2015 | 299 |
21 | Safe haven, hedge and diversification for G7 stock markets: Gold versus bitcoin | Economic Modelling | 2020 | 297 |
22 | Tests for cointegration allowing for an unknown number of breaks | Economic Modelling | 2012 | 280 |
23 | Energy efficiency and production technology heterogeneity in China: A meta-frontier DEA approach | Economic Modelling | 2013 | 280 |
24 | Health care expenditure and income in the OECD reconsidered: Evidence from panel data | Economic Modelling | 2010 | 274 |
25 | Testing the tourism-induced EKC hypothesis: The case of Singapore | Economic Modelling | 2014 | 273 |
26 | Foreign direct investment, economic freedom and economic growth: International evidence | Economic Modelling | 2010 | 272 |
27 | Cross-country efficiency of secondary education provision: A semi-parametric analysis with non-discretionary inputs | Economic Modelling | 2006 | 265 |
28 | CO2 emissions, output, energy consumption, and trade in Tunisia | Economic Modelling | 2014 | 260 |
29 | Price connectedness between green bond and financial markets | Economic Modelling | 2020 | 256 |
30 | Is gold a hedge or a safe-haven asset in the COVID–19 crisis? | Economic Modelling | 2021 | 252 |
31 | How confident can we be of CGE-based assessments of Free Trade Agreements? | Economic Modelling | 2007 | 248 |
32 | In search of FDI-led growth in developing countries: The way forward | Economic Modelling | 2008 | 243 |
33 | Energy consumption, economic growth and environmental degradation in OECD countries | Economic Modelling | 2020 | 243 |
34 | Estimating income and price elasticities of imports for Fiji in a cointegration framework | Economic Modelling | 2005 | 234 |
35 | Economic growth with coal, oil and renewable energy consumption in China: Prospects for fuel substitution | Economic Modelling | 2015 | 234 |
36 | Is energy consumption effective to spur economic growth in Pakistan? New evidence from bounds test to level relationships and Granger causality tests | Economic Modelling | 2012 | 233 |
37 | The theoretical and empirical structure of the G-Cubed model | Economic Modelling | 1999 | 232 |
38 | Revisiting the oil price and stock market nexus: A nonlinear Panel ARDL approach | Economic Modelling | 2017 | 232 |
39 | Does trade openness affect long run growth? Cointegration, causality and forecast error variance decomposition tests for Pakistan | Economic Modelling | 2012 | 227 |
40 | The Feldstein–Horioka puzzle: A panel smooth transition regression approach | Economic Modelling | 2008 | 216 |
41 | Economic growth and carbon emissions | Economic Modelling | 2016 | 214 |
42 | ICT diffusion, financial development, and economic growth: An international cross-country analysis | Economic Modelling | 2021 | 211 |
43 | QUEST III: An estimated open-economy DSGE model of the euro area with fiscal and monetary policy | Economic Modelling | 2009 | 210 |
44 | Green versus brown: Comparing the employment impacts of energy efficiency, renewable energy, and fossil fuels using an input-output model | Economic Modelling | 2017 | 209 |
45 | A wavelet decomposition approach to crude oil price and exchange rate dependence | Economic Modelling | 2013 | 208 |
46 | World gold prices and stock returns in China: Insights for hedging and diversification strategies | Economic Modelling | 2015 | 208 |
47 | Macroeconomic determinants of the credit risk in the banking system: The case of the GIPSI | Economic Modelling | 2013 | 207 |
48 | Financial depth, savings and economic growth in Kenya: A dynamic causal linkage | Economic Modelling | 2008 | 206 |
49 | Does corporate social responsibility reduce financial distress risk? | Economic Modelling | 2020 | 205 |
50 | Does tourism development promote economic growth in transition countries? A panel data analysis | Economic Modelling | 2013 | 202 |