4.1(top 10%)
impact factor
5.3K(top 5%)
papers
103.4K(top 5%)
citations
111(top 5%)
h-index
4.2(top 10%)
impact factor
5.9K
all documents
120.2K
doc citations
180(top 5%)
g-index

Top Articles

#TitleJournalYearCitations
1Testing for Granger non-causality in heterogeneous panelsEconomic Modelling20123,267
2How's life? Combining individual and national variables to explain subjective well-beingEconomic Modelling20031,018
3CO2 emissions, economic growth, energy consumption, trade and urbanization in new EU member and candidate countries: A panel data analysisEconomic Modelling2015962
4The impact of financial development, income, energy and trade on carbon emissions: Evidence from the Indian economyEconomic Modelling2014608
5The effects of FDI, economic growth and energy consumption on carbon emissions in ASEAN-5: Evidence from panel quantile regressionEconomic Modelling2016604
6Exports and growth: Granger causality analysis on OECD countries with a panel data approachEconomic Modelling2006542
7Does financial development reduce CO2 emissions in Malaysian economy? A time series analysisEconomic Modelling2013516
8Can volume predict Bitcoin returns and volatility? A quantiles-based approachEconomic Modelling2017505
9Financial development and energy consumption nexus in Malaysia: A multivariate time series analysisEconomic Modelling2013455
10A contribution of foreign direct investment, clean energy, trade openness, carbon emissions and economic growth to energy demand in UAEEconomic Modelling2014455
11Causal interactions between CO2 emissions, FDI, and economic growth: Evidence from dynamic simultaneous-equation modelsEconomic Modelling2014446
12Correlations and volatility spillovers across commodity and stock markets: Linking energies, food, and goldEconomic Modelling2013411
13The impact of digital finance on household consumption: Evidence from ChinaEconomic Modelling2020391
14Financial development, trade openness and economic growth in African countries: New insights from a panel causality approachEconomic Modelling2014389
15Financial development and economic growth nexus in the MENA countries: Bootstrap panel granger causality analysisEconomic Modelling2011367
16Corporate social responsibility and financial performance: A non-linear and disaggregated approachEconomic Modelling2016342
17An area-wide model for the euro areaEconomic Modelling2005324
18Testing for Granger causality in heterogeneous mixed panelsEconomic Modelling2011318
19Return and volatility transmission between world oil prices and stock markets of the GCC countriesEconomic Modelling2011304
20Does gold act as a hedge or a safe haven for stocks? A smooth transition approachEconomic Modelling2015299
21Safe haven, hedge and diversification for G7 stock markets: Gold versus bitcoinEconomic Modelling2020297
22Tests for cointegration allowing for an unknown number of breaksEconomic Modelling2012280
23Energy efficiency and production technology heterogeneity in China: A meta-frontier DEA approachEconomic Modelling2013280
24Health care expenditure and income in the OECD reconsidered: Evidence from panel dataEconomic Modelling2010274
25Testing the tourism-induced EKC hypothesis: The case of SingaporeEconomic Modelling2014273
26Foreign direct investment, economic freedom and economic growth: International evidenceEconomic Modelling2010272
27Cross-country efficiency of secondary education provision: A semi-parametric analysis with non-discretionary inputsEconomic Modelling2006265
28CO2 emissions, output, energy consumption, and trade in TunisiaEconomic Modelling2014260
29Price connectedness between green bond and financial marketsEconomic Modelling2020256
30Is gold a hedge or a safe-haven asset in the COVID–19 crisis?Economic Modelling2021252
31How confident can we be of CGE-based assessments of Free Trade Agreements?Economic Modelling2007248
32In search of FDI-led growth in developing countries: The way forwardEconomic Modelling2008243
33Energy consumption, economic growth and environmental degradation in OECD countriesEconomic Modelling2020243
34Estimating income and price elasticities of imports for Fiji in a cointegration frameworkEconomic Modelling2005234
35Economic growth with coal, oil and renewable energy consumption in China: Prospects for fuel substitutionEconomic Modelling2015234
36Is energy consumption effective to spur economic growth in Pakistan? New evidence from bounds test to level relationships and Granger causality testsEconomic Modelling2012233
37The theoretical and empirical structure of the G-Cubed modelEconomic Modelling1999232
38Revisiting the oil price and stock market nexus: A nonlinear Panel ARDL approachEconomic Modelling2017232
39Does trade openness affect long run growth? Cointegration, causality and forecast error variance decomposition tests for PakistanEconomic Modelling2012227
40The Feldstein–Horioka puzzle: A panel smooth transition regression approachEconomic Modelling2008216
41Economic growth and carbon emissionsEconomic Modelling2016214
42ICT diffusion, financial development, and economic growth: An international cross-country analysisEconomic Modelling2021211
43QUEST III: An estimated open-economy DSGE model of the euro area with fiscal and monetary policyEconomic Modelling2009210
44Green versus brown: Comparing the employment impacts of energy efficiency, renewable energy, and fossil fuels using an input-output modelEconomic Modelling2017209
45A wavelet decomposition approach to crude oil price and exchange rate dependenceEconomic Modelling2013208
46World gold prices and stock returns in China: Insights for hedging and diversification strategiesEconomic Modelling2015208
47Macroeconomic determinants of the credit risk in the banking system: The case of the GIPSIEconomic Modelling2013207
48Financial depth, savings and economic growth in Kenya: A dynamic causal linkageEconomic Modelling2008206
49Does corporate social responsibility reduce financial distress risk?Economic Modelling2020205
50Does tourism development promote economic growth in transition countries? A panel data analysisEconomic Modelling2013202