Index

Economic Imbalances and Institutional Changes to the Euro and the European Union

ISBN: 978-1-78714-510-8, eISBN: 978-1-78714-509-2

ISSN: 1569-3767

Publication date: 23 October 2017

This content is currently only available as a PDF

Citation

(2017), "Index", Economic Imbalances and Institutional Changes to the Euro and the European Union (International Finance Review, Vol. 18), Emerald Publishing Limited, Leeds, pp. 445-456. https://doi.org/10.1108/S1569-376720170000018021

Publisher

:

Emerald Publishing Limited

Copyright © 2017 Emerald Publishing Limited


INDEX

AAA-rated securities
, 146

Akaike Information Criterion (AIC)
, 262

Alert Mechanism Report
, 360

Andor, László
, 93

Anti-growth bias
, 123

Arellano-Bond’s Generalized Method of Moments methodology
, 396

Asset-backed securities purchase programme (ABSPP)
, 8

Asset purchase program (APP)
, 132

Assets cross-ownership, analysis of

asymmetry of GDP vs asymmetry of GNP and income
, 170

country-by-country measure of fluctuations
, 167

EU 1971–2014 (panel data estimations)
, 168–169

gains from risk-sharing
, 166–167, 169–170

identical CRRA utility and rate of time preference
, 166–167

level of risk-sharing
, 165–169

methodology
, 165–167

sensitivity of regional income to idiosyncratic GDP fluctuations
, 165–166

Augmented Dickey-Fuller (ADF) test
, 262

Austerity policies, impact of
, 77–78, 96–97, 120, 231

Bail scheme
, 205

Balance sheet operations
, 144

Baltics and South-Eastern European economies
, 358

Banking Union
, 70

architecture and design
, 216

balance sheet assessment
, 209–211

blueprint
, 204

capital requirements for banks (CRD IV package)
, 204

deficiencies and criticisms of
, 211–218

emergence of a moral hazard and
, 216

European Supervisory Authority (EBA) for
, 207

European Systemic Risk Board (ESRB) for
, 207

guarantee schemes
, 205

key success factor in
, 196

main pillars of
, 203–206

political support
, 217

reasons for establishment of
, 199–203

risks with
, 196

single rulebook
, 205

SRM and SSM implementation
, 203–206

theory of optimal currency area-based
, 197–199

Bank of England (BoE)
, 149

Bank Recovery and Resolution Directive (BRRD) –Directive 2014/59/EU
, 71

Bank-sovereign doom loop
, 118

Beggar-thy-neighbor policy
, 96

Beta-convergence of individual financial markets
, 177–179, 182–185

Bilateral trade balances
, 247

Bond-buying programme
, 146

Breusch-Godfrey test
, 342, 346

Brexit
, 82

Bundesbank
, 119–120, 127, 131, 138n8

Capital flows and its impacts on fiscal imbalances, study

data sources
, 342–343

descriptive statistics
, 343–351

facts for European Union
, 336–340

General Government Debt (GGD)
, 345, 350

hypotheses
, 334

literature review
, 335–336

marginal explanatory variable (MEXVAL)
, 349–350, 353n2

methodology
, 340–342

Net International Payment Positions (NIPP)
, 343, 345–346, 349–350

net lending (NLB)
, 349

policy implications
, 351–353

problems of Non-Performing Loans (NPL)
, 351

seemingly unrelated regression (SUR) technique
, 340, 345–348

Central, Eastern, and South-Eastern Europe (CESE)
, 359

Central and Eastern European countries (CEEC)
, 359

Central banks, functions of
, 117

Central European economies
, 174

Central government debt in selected countries
, 424

Cholesky identification scheme
, 260

Citizens’ Euroscepticism, reflection on
, 40

economic conditions, in case of
, 38

fixed effect estimates
, 35–39

ideological extremism, impact of
, 35, 38

non-mainstream parties vs mainstream parties
, 38

opinion of the electorate as determining factor
, 35, 38

ordered logit and fractional logit results
, 35–39

party characteristics, influence of
, 35

political elites’ support
, 40

relationship between incumbent support and orientations toward Europe
, 35

role of economic conditions
, 36–38

troubled economies, in case of
, 38–40

in virtuous economies
, 40

Common currency
, 194–195

2010 Communication
, 52–53

Community method
, 68

Competitiveness
, 74, 225–230

austerity measures and
, 231–232

balance of payment (BOP) implications
, 231

Business School’s view of
, 225

causal mechanism associated with
, 234–235

economic growth and
, 227

Euro Institutions view’s of
, 229

high technology (HT) productive structures vs low technology (LT) productive structures
, 225–227

improvements in productivity, and
, 225

inflationary adjustments and
, 229–230

issues within the Euro Area
, 246–247

labor costs-determined
, 266

labour costs
, 228

long-term dynamics of
, 247

macroeconomic imbalances and
, 230–235

national
, 225–226, 229

Krugman’s critique of
, 225

neoclassical theory of competition
, 227

price and non-price
, 229

price/cost
, 228

productivity growth, in terms of
, 232–234

Ricardo’s theory of comparative advantage
, 227

structural trade imbalances and
, 231

in technology manufacturing
, 235–239

Thirlwall’s model
, 230

trade deficits and debt accumulation, in terms of
, 232

unions and
, 228

welfare and
, 228

See also International competitiveness in Eurozone

Composite indicators of financial integration
, 180, 187–188

Consumer price inflation (CPI) in Eurozone
, 72

Credit markets mechanism
, 164

Cross-border payment
, 101–102

Cross-ownership of assets
, 163

Cumulative causation principle
, 50

Current account balances of countries
, 246–248

bilateral trade balances
, 247

causality between exchange rate changes and current account adjustments
, 246

in EMU
, 246

estimation of effects of global current account imbalances
, 246

impact of competitiveness issues and asymmetric trade developments
, 247

implications of real exchange rate fluctuations
, 246

origins of
, 247

paneleconometric analysis
, 247

panel regression models
, 246

real exchange rate and demand shifts on current account adjustments, analysis

current account responses to demand shocks
, 264–265

decomposition of conditional variance of current accounts
, 270–274

econometric model
, 256–262

impulse–response functions
, 263–270

responses of current account to REER
, 263–268

responses to the real exchange rate (CPI based) shock
, 264–266

testing procedure
, 262–263

real exchange rate movements
, 247

real exchange rates and growth
, 247–248

relation between external wealth and trade balance
, 248

relationship between terms of trade, trade balances and business cycles
, 246

role of financial links in the accumulation and then adjustment of
, 248

trends in Euro area
, 248–261

dynamics of import shares on GDP
, 256–258

dynamics of real output and the dynamics of exports and imports
, 250–253

during pre-crisis period
, 248–250

price and costs related effects on export performance
, 253–256

Current account imbalances of Eurozone
, 73–77

Debt/GDP ratio, stabilization of
, 282

Debt issue in the EU, analysis of
, 278–279

debt indicators
, 283–286

literature review
, 279–283

research

in EU-10 countries
, 298

GDP growth rates, causality between public debt and
, 288–290

Granger-causality testing methodology
, 286, 289–297

interest rates, causality between public debt and
, 291, 293–294, 297–298

interest rate spread
, 296–297

level of public debt in countries
, 298–299

macroeconomic imbalances and public debt
, 298–299

methodology and data
, 286–288

panel unit root test, Fisher-type
, 287

unemployment rates, causality between public debt and
, 288–297

Debt-led economic growth
, 96

Demand driven redistributive effects
, 244

Deposit-funding gap
, 308

Developmentalist ideology
, 56

Developmental state policies
, 54–57

Disinflation
, 244

Dodd–Frank Wail Street and Consumer Protection Act
, 211

Draghi, Mario
, 70, 130–131

Dual mandate
, 95

Durbin-Watson test statistic
, 342, 353n1

Economic integration
, 54

Efficiency market hypothesis
, 7

Efficient markets
, 95

Emergency Liquidity Assistance (ELA)
, 131

Euro
, 92

crisis
, 118

Euro-areawide payment system
, 101

Eurobarometer
, 4, 9

Eurobarometer Survey
, 11, 19n7

Eurobonds
, 81, 83

Euro crisis
, 66, 69

European Banking Authority (EBA)
, 207–209

European Central Bank (ECB)
, 56, 95–96, 117, 174, 215, 217, 245, 306, 343, 358, 429

anti-growth bias
, 131–132

asset backed securities (ABSPP), purchase of
, 132

asymmetric policy approach
, 127

conduct of monetary policy and banking supervision
, 208, 214–215

covered bonds program (CBPP3)
, 132

crisis management
, 129

economic policy rule
, 8

evolution of policies
, 127

fixed rate full allotment (FRFA) program
, 129

Harmonized Index of Consumer Prices (HICP) for the euro area
, 120–121

institutional commitments of
, 10

interest rate cut
, 127

intra-area divergences
, 126

“lender-of-last-resort” role of
, 105

long-term refinancing operations (LTROs)
, 147

as a monetary authority
, 117

monetary policy
, 1999–2014, 127–132

“one-size-fits-none” monetary policy stance
, 126

“outright open market operations” (OMT) programme
, 131

policy inaction
, 128–129

policy strategy
, 4

QE initiative
, 132–135, 146–147

role in financial stability policy
, 117

“structural reform” of labor markets
, 126–127

targeted long-term financing operation (TLTRO-II)
, 134

trust in
, 9–11

workload
, 214

European Commission
, 2, 52–53, 138n7, 342, 429

“An Investment Plan for Europe”
, 73

Macroeconomic Imbalance Procedure (MIP) Scoreboard
, 360

European Deposit Insurance Guarantee Scheme
, 71

European Deposit Insurance Scheme (EDIS)
, 82

European Economic Area (EEA)
, 195

European Economic Community (EEC)
, 48

supply-oriented regional and industrial policies, impact of
, 48

supply-oriented regional and industrial policies of
, 47

European economy consolidation process
, 8

European Fund for Strategic Investments (EFSI)
, 85n21

European macroeconomic imbalances
, 336

European monetary integration
, 309

European Monetary System (EMS)
, 119

European Monetary Union (EMU)
, 4, 66, 92–93, 116, 162, 335

challenges faced by
, 335

cross-ownership of assets
, 163

See also Assets cross-ownership, analysis of

current account deficits
, 1985–2000, 336

current account determination in
, 246

fiscal and monetary policies
, 95

global financial crisis and
, 93–95

governance of
, 67–68

harmonization of rules and surveillance of financial sector in
, 67

institutional framework

new
, 69–73

problems with
, 68

interactions between independent fiscal authorities and single fiscal bank in
, 336

monetary reforms
, 100–107

objectives
, 70

political contract of
, 68

quantitative easing policy
, 335

rules governing
, 70

Treaty on Stability, Coordination and Governance in
, 70

“Two-Pack” arrangements and “Fiscal Compact,”
, 70–71, 80–81, 84n9

European Parliament (EP)
, 4

European policy model

criterion of spending constraint
, 6

limits
, 7

monetary policy
, 7–8

separation between fiscal and monetary policy
, 6

European sovereign debt crisis
, 421–429

European Stability Mechanism (ESM)
, 69, 136, 213, 429

financial assistance to countries
, 69

European Systemic Risk Board (ESRB)
, 195

European System of Financial Supervisors (ESFS)
, 206

European Union (EU)
, 67

Europe Central Bank (ECB)
, 67

Governing Council
, 72

measures to support financial stability
, 70

policy response to a crisis
, 70

Euro Treasury
, 135–136

debt issuance
, 135

Eurozone
, 10, 236, 358

austerity policies, impact of
, 77–79

characteristics
, 46

competitiveness
, 73

consumer price inflation (CPI) in
, 72

crisis
, 66, 72, 224, 335

pooling of debt
, 426–427

redistributive effects of
, 244

current account imbalances
, 73–77

current state of inflation in
, 71

debt ratios in
, 80

degree of divergence in
, 69

democratic deficit in
, 68

divergence in competitiveness
, 236

employment and income fluctuations
, 47

explanatory factors for imbalances
, 228

fiscal developments
, 339

government debt securities
, 338

annual debt service for
, 338–339

gross capital formation and capital outlays
, 51

gross domestic product (GDP)
, 66

high-tech industries in
, 52

inflation, growth, and the labor market
, 120–124

integration process
, 388

international competitiveness in

divergence vs convergence of
, 393–400

fixed effects estimation for trade balance growth
, 397

generalized method of moments estimation for trade balance
, 401–402

Hausman and Breusch-Pagan test
, 399

methodology
, 389

random effects estimation for trade balance growth
, 398

theoretical background
, 389–393

intra-area divergences and build-up of imbalances
, 124–127

living standards
, 47–48

long-term interest rates for
, 422–423

manufacturing employment
, 51

member countries
, 47

movement of capital in
, 75

need for structural reforms
, 81–83

per capita GDP
, 47

policy trilemma and
, 67

problems of budget deficits
, 337–338

R&D expenditure and R&D spending
, 52

real GDP growth and debt problem
, 77–81

2004–2014
, 78

regional and industrial disparities and problems
, 47–48

regional and industrial policies in
, 48–50

developmental state approach
, 54–57

for economic restructuring and diversification
, 57–60

overall evaluation
, 50–54

strategic planning
, 57

regional and socioeconomic development characteristics in
, 47

regional inequalities and disparities
, 47

risk management
, 69–70

rules, policies, and institutional flaws in
, 67–69

Single Resolution Mechanism (SRM) for banks in
, 71

supply-oriented regional and industrial policies, impact of
, 48

supply-oriented regional and industrial policies of
, 47

trade performance
, 53

unemployment rate
, 117

Eurozone member countries
, 4

Evolutionary growth theory
, 227

Exchange Rate Mechanism (ERM)
, 119

Export-led economic growth strategies
, 96

External imbalances in New Zealand, risks associated with
, 336

Extra-Euro Area exports
, 247

Feasible Generalized Least Squares (FGLS) Method
, 341

Federal Deposit Insurance Act (FDIC)
, 212

Federal Reserve Act
, 95

Federal Reserve Wide Network (Fedwire)
, 99

Financial crisis
, 2007, 7–8

Financial imbalances
, 367–374

Financial market integration

assessment of

beta- and sigma-convergence of individual financial markets
, 177–179, 182–185

composite indicators of financial integration
, 180, 187–188

Czech financial market
, 181–185

government bond market
, 186–187

methodology
, 176–181

news-based measures
, 179–180, 185–187

during pre-crisis period
, 182

results
, 181–188

assessment of the current state of
, 176

dimensions of
, 174

on equity markets
, 177

link between growth and
, 176

literature review
, 175–176

weak integration
, 175

Financial markets integration
, 162

Fiscal Compact
, 7

Fiscal consolidation
, 93, 96–97

Fiscal union, logical consequence of absence of
, 117–118

Foreign debt, importance of
, 282

Friedman, Milton
, 150

General Government Debt (GGD)
, 345, 350

Generalized Least Squares (GLS) Method
, 341

Germany
, 71, 96

Agenda
, 2010, 428

competitive gap-current account imbalances
, 236–237

competitiveness in technology manufacturing
, 235–239

divergence in competitiveness
, 235–236

fiscal balances
, 238

productive structure and debt
, 238

unit labour costs
, 239

value added share
, 235

vs Spain
, 235

current account balances
, 74–75

debt crisis
, 429

See also Sovereign debt crisis

democratic deficit in
, 68

euro trilemma
, 136

export-oriented economic policy
, 427

export structure
, 1999–2007, 236

export surplus to output ratio
, 428–429

gap between national interest rates and German interest rates
, 298

GDP growth
, 79, 122

German ideology of ordoliberalism
, 73

German unification
, 119–120

in the global business cycle
, 122

intra-German transfer union
, 136

medium technology manufacturing
, 235

model of export-led growth
, 124, 134–135

price stability, impact of
, 119–120, 124–127

title of “sick man of the euro,”
, 119

wage stagnation
, 224

Global financial crisis of 2007/2008
, 94–95, 174, 229, 283, 338, 359

European Monetary Union (EMU) and
, 93–95

single European currency and
, 95–97

See also Sovereign debt crisis

Gold Exchange Standard
, 6

Greece
, 250

competitiveness, in terms of
, 237

current account balances
, 74–75

debt crisis
, 48, 66, 309, 422–424

See also Sovereign debt crisis

effects Eurozone participation
, 335

housing price bubbles
, 309, 315–316

recovery from crisis
, 79

sovereign debt levels
, 309

Greece, Ireland, Italy, Portugal and Spain (GIIPS) crisis

aftermath of crises

costs of rescue interventions
, 322–323

countries’ populations, impact on
, 323–324

impacts on banking sector
, 321–322

comparative studies
, 307–308, 325–327

country-specific case studies
, 309–310

budget deficits
, 311–312

convergence criteria for adopting Euro
, 311

GDP growth rate for
, 1999–2014, 310–311

pressures increasing likelihood of crises

government budget and current account deficits
, 316–318

private and public consumption levels
, 318–319

real-estate sector
, 315–316

yield and foreign debt conditions
, 319–320

systematic imbalances after the Euro

cycles common to precede banking crises
, 313–314

economic characteristics and performances
, 310–313

monetary aggregates M1 and M2
, 313–314

Harmonized Index of Consumer Prices (HICP) for the euro area
, 120–121

Hartz reforms
, 125

Hausman and Breusch-Pagan test
, 396, 399

Hausman h-test
, 13, 15, 19n9

Hodrick–Prescott filter
, 376

Housing price bubbles
, 309, 315–316

Impulse–response functions of current accounts
, 263–270

Integrated industrial policy
, 52–53

Interdistrict Settlement Account (ISA)
, 99

Internal devaluation, effectiveness of
, 244

Internal devaluation in countries
, 244–245

International competitiveness in Eurozone

divergence vs convergence of
, 393–400

fixed effects estimation for trade balance growth
, 397

generalized method of moments estimation for trade balance
, 401–403

Hausman and Breusch-Pagan test
, 399

methodology
, 389

random effects estimation for trade balance growth
, 398

theoretical background
, 389–393

International Monetary Fund (IMF)
, 56, 74, 429

International Settlement Institution (ISI)
, 100, 106

Intra-Euro Area exports
, 247

Intra-Eurozone current account imbalances
, 244

Italian industrial policy
, 49

Japan
, 145

banks’ liquidity positions
, 149

unemployment in
, 51

Jarque–Bera normality test
, 262

Kaldor growth model
, 233

Keynesian fiscal policies
, 94

Keynes plan
, 100

Labor costs-determined competitiveness
, 266

Lehman Brothers
, 95–96, 126, 211

Lender-of-last-resort
, 105

Longer Term Refinancing Operation (LTRO)
, 70, 73

Maastricht regime
, 117

Maastricht Rule
, 336

Maastricht Treaty
, 7, 388

Macroeconomic imbalance procedure (MIP)
, 278

Macroeconomic imbalances, evolution of
, 360–363

Manufacturing employment, impact of Globalization and European integration
, 50

Manufacturing in Europe
, 52

Marginal explanatory variable (MEXVAL)
, 349–350, 353n2

Market-based banking systems
, 308–309

Market-based policies
, 54–55

Market-based risk-sharing mechanism
, 163–164

Market failures
, 49

Maximum Likelihood (ML) Method
, 341

M-equations
, 341

Monetary imbalances
, 363–367

Mundell, Robert
, 93

National Central Banks (NCBs)
, 97–101, 107, 117

National competitiveness
, 225

Net International Payment Positions (NIPP)
, 343, 345–346, 349

Non-price competitiveness
, 229

Northern Eurozone countries
, 236, 250, 266–267, 425–427

One-size-fits-all monetary policy
, 358

ineffectiveness, Taylor rule approach to analysis

“Great Deviation” hypothesis
, 376–380

membership in the Eurozone, impact on
, 380–383

methodology and data
, 375–376

One-size-fits-none monetary policy
, 126

Optimal monetary and fiscal policies
, 335

Optimum currency area (OCA)
, 92–95, 126, 162

Ordinary Least Squares (OLS) Method
, 341

Organisation for Economic Co-operation and Development (OECD) countries
, 50

gross capital formation and capital outlays
, 51–52

R&D investment
, 52

Organization for Economic Cooperation and Development (OECD)
, 343

Outright Monetary Transactions (OMT) program
, 429

Outright Monetary Transactions (OMTs)
, 70, 73

Party ideology, importance of
, 24

Party policy positions on EU integration, study
, 24–25

dataset used
, 28–32

description and label of variables
, 31

descriptive statistics
, 31–32

explanatory variables
, 29–30

literature review
, 25–28

methodology
, 32–35

dependent variable
, 34

fractional logit model
, 34

results and discussion
, 35–40

economic conditions, in case of
, 38

fixed effect estimates
, 35–39

ideological extremism, impact of
, 35, 38

non-mainstream parties vs mainstream parties
, 38

opinion of the electorate as determining factor
, 35, 38

ordered logit and fractional logit results
, 35–39

party characteristics, influence of
, 35

political elites’ support
, 40

relationship between incumbent support and orientations toward Europe
, 35

role of economic conditions
, 36–38

troubled economies, in case of
, 38–40

in virtuous economies
, 40

Perfect competition
, 227

Pesaran, Friedman, and Free’s test
, 19n8

Phillips–Perron (PP) test
, 262

Praet, Peter
, 133

Price competitiveness
, 229

Public debt sustainability, indicators of
, 278

Public Sector Purchase Program (PSPP)
, 8, 71, 146

Quantitative easing (QE) programme
, 71–73, 80–81, 85n16, 85n18, 144

adverse effects of
, 150–153

alternative perspectives
, 153–155

as balance sheet operations
, 144

history of
, 145–147

impact of
, 148–150

impact on inflation
, 146–147

in Japan
, 145–146, 149, 153

theory of
, 147–148

traditional IS/LM model
, 148

in United States
, 146, 149

versions of
, 144

Real effective exchange rates (REER)
, 245, 270

Real-estate crisis
, 309, 315–316

Recapitalization of banks
, 215

Ricardo’s theory of comparative advantage
, 227

Risk of an asset’s return
, 177

Risk-sharing mechanisms
, 163–164

RTGS (Real Time Gross Settlement) systems
, 98

Sargan–Hansen test
, 32

Schwarz Information Criterion (SIC)
, 262

SDGS
, 195, 213–214

Search-for-yield effect
, 177

Securities Market Program (SMP)
, 70, 85n10, 129, 132

Seemingly unrelated regression (SUR) technique
, 340, 345–348

Settlement system
, 103–104

Sigma-convergence of individual financial markets
, 177–179, 182–185

Single-currency area, effect of
, 94–97, 388

Single Market
, 24

Single Resolution Mechanism (SRM)
, 71, 82, 136, 195–196, 204–206, 211–212

Single Supervisory Mechanism (SSM)
, 71, 82, 195, 204–206

synergistic effect of
, 206–209

Southern Eurozone countries
, 228, 250, 270, 425–427

Sovereign debt crisis
, 80, 129, 400

European
, 421–429

sources of
, 418–421

access to global capital markets
, 421

creditor countries
, 420

myopic behavior of domestic governments
, 419

pressure to facilitate consumption of sovereign debt
, 419–420

Stability and Growth Pact (SGP)
, 7, 70, 81, 92, 126, 218, 352

Stability-oriented monetary policy
, 119–120

Standard deviation REER shock
, 263

Structural exogenous shocks
, 259–260

Subprime crisis of the United States
, 308, 400

Supernational Bank
, 101

TARGET2 (Trans-European Automated Real-time Gross Settlement Express Transfer System)
, 75, 97–100, 130, 281

balance of crisis countries
, 130

Tax-push inflation
, 129

Taylor rule
, 358, 375–383

comparison between country-specific Taylor rule and Eurozone Taylor rule
, 378–380, 382

in countries with fixed exchange rates
, 378

effective interest rates in CESE economies and
, 377

extended
, 380–381

“Great Deviation” hypothesis
, 376–380

identified for the Eurozone
, 375

in peripheral Eurozone countries
, 378–379

seasonal adjustments under
, 375–376

sets of estimations under
, 381–383

simulated
, 375

See also One-size-fits-all monetary policy

Technology intensive activities
, 226

Thirlwall’s law of the growth of income
, 231

Toxic connection
, 195

Treaty on the Functioning of the European Union (TFEU; Lisbon Treaty)
, 67, 71

Trichet, Jean-Claude
, 126, 130, 133

Trust

analyses via “Vote and Popularity” (VP) function
, 9

in decision-making bodies
, 4

determinants in European Institutions
, 10

in ECB
, 9–11

economic performance and
, 8–10

in European Institutions
, 11, 14, 16

in national governments and parliaments
, 9

relationship between unemployment and
, 10, 15, 17

Trust, empirical analysis of

data and methodology
, 11–13

dynamic fixed effect (DFE), the Mean Group (MG), and the Pooled mean group (PMG) estimators
, 12

empirical results
, 13–17

error correction form of the model (ECM)
, 11

estimation for the peripheral countries
, 15–16

Portugal, Ireland, Italy, Greece, and Spain (PIIGS countries)
, 15

T-statistic
, 354n3

Unemployment
, 10, 121

causality between public debt and
, 288–297

EU’s comparative record
, 51

Globalization and European integration impact
, 51

in Japan
, 51

relationship between trust and
, 10, 15, 17

U.S. dot.com boom
, 121

Voters’ opinions on party positioning
, 24

Wage–productivity ratios
, 228

Washington Consensus
, 52

Western European economies
, 174

World Bank
, 56

World Economic Forum (WEF)
, 225

X-12-ARIMA procedure
, 376, 384n9

Prelims
Part I Institutional and Political Issues in the Policy Framework of the Eurozone
The Eurozone Policy Model and the Institutional Consolidation Process in the Long-Run
In or Out of Love with Europe? An Empirical Analysis of the Determinants of National Political Parties’ Orientation Toward the European Union
Development-Related Problems and Asymmetries in the Eurozone: The Challenge of the “Strategic” Approach
Rules, Imbalances, and Growth in the Eurozone
Back to National Currencies? Monetary Integration in an Asymmetrical Currency Area
Part II Monetary Policy, the Banking System and Financial Integration
From Anti-Growth Bias to Quantitative Easing: The ECB’s Belated Conversion?
Quantitative Easing in the Eurozone
Updating the Evidence on Risk-Sharing through the Cross-Ownership of Assets in the Euro-Area
Financial Integration at Times of Crisis and Recovery
EU-Banking Union – Expectations, Deficiencies, and Criticisms
Part III Macroeconomic Imbalances and the Convergence Process
Competitiveness and Macroeconomic Imbalances in Eurozone Countries
Current Accounts and Competitiveness Issues in the North and South of the Euro Area
Is There a Debt-Overhang Problem in the European Union?
Are They All the Same? Banking and Financial Crises in Debt-Ridden Euroarea Countries
The Recent Experiences of Capital Flows and Fiscal Imbalances Since the Creation of the Eurozone
Intra-European Union Imbalances and Cyclical Position: Does Monetary Policy Matter?
Is there Convergence or Divergence in the International Competitiveness of the Eurozone Countries?
Sovereign Debt Crisis: Euro-Reality
About the Authors
Index