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Convergence in solvency and capital centralization: A B-VAR analysis for high-income and euro area countries |
Does tertiarisation slow down productivity growth? A Kaldorian–Baumolian analysis across 10 developed economies |
A financial frontier model with bankers' susceptibility under uncertainty |
Income distribution, banks and managers: A linear joint-production model with financial assets |
Information-theoretic model of induced technical change: Theory and empirics |
Intersectoral and intercountry linkages as drivers of employment growth in emerging economies: The case of Visegrád countries |
Notes on the accumulation and utilization of capital: Some theoretical issues |
Optimal correction of the public debt and measures of fiscal soundness |
Some universal patterns in income distribution: An econophysics approach |
A typology of Marxian transformation procedures with endogenous exploitation rate |
Growth slowdowns at middle income levels: Identifying mechanisms of external constraints |
Income distribution and economic activity: A frequency domain causal exploration |
MMT and policy assignment in an open economy context: Simplicity is useful, oversimplification not so much |
Permanent scars: The effects of wages on productivity |
A prototype regional stock-flow consistent model |
Science in the mist: A model of asymmetric information for the research market |
Tax and pollution in a vertically differentiated duopoly: When consumers matter |
Worker household debt, functional income distribution and growth: A neo-Kaleckian perspective |