Emerging Markets Review
2000 - 2025
Current editor(s): Jonathan A. Batten From Elsevier Bibliographic data for series maintained by Catherine Liu (). Access Statistics for this journal.
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Volume 67, issue C, 2025
- Trade sanctions and global value chains: The role of financial development and capital openness in emerging markets

- Maria Cipollina and Silvia Dal Bianco
- Corporate investment and shadow banking channel of monetary policy

- Bo Jiang and Liang Fu
- Commodity dependence: Providing information on emerging market CDS spreads when economic indicators are absent

- Beyza Mina Ordu-Akkaya and Süheyla Özyıldırım
- Colonialism in sub-Saharan Africa, access to finance, and firm growth

- Lawrence Ngalim and Asli Togan
- CSR news and stock prices: A fine-grained analysis in an underexamined Muslim setting

- Fatma Hilal Ergen Keleş, Emrah Keleş and Bodo B. Schlegelmilch
- Multibanking in microfinance yields positive performance: Evidence from Ecuadorian entrepreneurs

- Vardan Baghdasaryan, Roy Mersland and R. Øystein Strøm
- Growth effects of remittances in developing countries: A growth accounting approach

- Pablo A. Garcia-Fuentes, P. Lynn Kennedy and Gustavo F.C. Ferreira
- Corrigendum to “Enforcement actions and systemic risk” [Emerging Markets Review 59 (2024) 101115]

- Xiaoming Zhang, Yiming Tian and Chien-Chiang Lee
- Surges in the shadows: Stock-flow adjustments and public debt spikes

- Leandro Andrian, Cesar M. Rodriguez and Oscar M. Valencia
- Does asynchronous market update matter? Re-examining the price discovery of stock index and futures in China

- Qian Han, Chengzhi Zhao, Jing Chen and Qian Guo
- Do management climate change concerns mitigate greenwashing? Evidence from China

- Sishi Yue, Mo Yang, Jiawei Cao and Jinyu Yang
- The textual similarity of news content and stock return synchronicity

- Rui Huang, Xing Chen and Chongfeng Wu
- Collateral eligibility of credit claims and bank liquidity creation: Evidence from China

- Guangjie Geng, Miao Cheng and Mingwei Chen
- Does the source of oil shocks matter to exchange rate dynamics? Insights from Indonesia's dual role as an oil exporter and importer

- Jungho Baek
- Loan spreads over the credit cycle

- Tarık Alperen Er, Burak Deniz and İbrahim Yarba
- Editorial for multi-source data-driven financial fraud risk analysis

- Jianping Li and Xiaoqian Zhu
Volume 66, issue C, 2025
- Enhancing bank liquidity creation through digital innovation: Exploring the impact of macroprudential policy sentiments

- Li Wang, Shangda Li, Zhan Fa and Yanan Wang
- Systemic risk between banks and firms in dual-layer dynamic networks

- Shuitu Qian, Hang You and Xiaoyuan Zhang
- Fraud detection at eBay

- Susie Xi Rao, Zhichao Han, Hang Yin, Jiawei Jiang, Zitao Zhang, Yang Zhao and Yinan Shan
- Managers' individualistic culture and trade credit

- Yonggen Luo, Na Tian, Dongmin Kong and Huijie Cui
- The impact of currency depreciation and foreign exchange positions on bank lending: Evidence from an emerging market

- Cristeta Bagsic, Veronica Bayangos, Ramon Moreno and Hazel Parcon-Santos
- Bank market power and monetary policy transmission: Evidence from loan-level data

- Nadezhda Ivanova, Svetlana Popova and Konstantin Styrin
- Borrowing constraints, financial development and the aggregate savings: Theory and evidence

- Pengfei Wang, Lifang Xu and Zhiwei Xu
- Demographic shifts and the strategic use of flexible off-budget debt tools

- Tianyuan Jiang, Manling Zhang and Jing Chen
- The role of investor participation on sovereign debt markets: Evidence from an emerging economy

- José Antonio Ocampo, Mauricio Villamizar-Villegas, Germán Orbegozo-Rodríguez, Nicolás Fajardo-Baquero, Oscar Botero-Ramírez and Camilo Orozco-Vanegas
- Spillover effects of short selling on corporate bond financing costs: Evidence from Chinese listed firms

- Xianzhe Jin, Haitao Si, Dandan Zhu and Yuyan Li
- Dynamic financial connectedness among the US, China, and countries of the Belt and Road Initiative

- Walter Bazán-Palomino and Diego Winkelried
- Digital finance and stock price crash: Evidence from China

- Ping Zhang and Yiru Wang
- Targeted monetary policy and household business credit access: Based on the credit asset pledge relending policy

- Mingxin Zhang, Min Lin, Yanmei Sun and Weixing Wu
- Risk-sharing networks, consumption, and asset allocation: Micro-evidence from China

- Ying Fan, Yidi Wang and Zan Yang
- The employment effects of anticorruption: Evidence from China

- Xiangbing Xu, Nanyan Dong, Chengzhang Wu and Sicheng Luo
Volume 65, issue C, 2025
- Does foreign demand affect corporate financialization? Some evidence from China

- Tayier Tudi, Ji Wu, Minghua Chen and Bang Jeon
- Combating the rent-seeking among enterprises in China's emissions trading system

- Changyu Liu, Jia Sun, Luhang Zheng and Renkui Zhu
- How bilateral investment treaties affect cross-border mergers and acquisitions: Novel evidence from China's internationalization

- Yonghui Han, Hao Cheng and Hao Wang
- FinTech: The disruptive force reducing bank competition pressure

- Xudong Zhang and Zhihui Li
- Debt-for-nature swaps: A case study of Gabon

- Nagihan Simeth
- Foreign exchange intervention and capital flow measures under external tail risks

- Nicolas Magud and Samuel Pienknagura
- The effect of US monetary policy on Russian Banks in a low interest rate environment

- Nadezhda Ivanova and Konstantin Styrin
- How credit constrained are family-owned SMEs in Arab countries?

- Grakolet Gourène, Zuzana Brixiová Schwidrowski, Jiří Balcar and Lenka Johnson Filipová
- Examining the impact of employee-friendly practices on performance volatility in African banks: A textual analysis approach

- David Adeabah, Charles Andoh and Lord Mensah
- Message traffic and short-term illiquidity in high-speed markets

- David Abad, Magdalena Massot, Samarpan Nawn, Roberto Pascual and José Yagüe
- The impacts of green bonds on the green innovation: Evidence from the corporate green transformation in China

- Minhua Yang, Linkun Ma, Yan Gu and Wenfeng Wu
- Are Latin American stock markets connected? Exploring spillovers and the impact of risk factors

- Ata Assaf, Mohammad Al-Shboul, Khaled Mokni and Ender Demir
- Family-firms cash holdings determinants: Empirical evidence for Chile

- Carlos P. Maquieira, Orlando Llanos-Contreras and Jose Arias
- Climate risks, balance-of-payments constraints and central banking in emerging economies – Insights from Nigeria

- Anne Löscher and Annina Kaltenbrunner
- Does compliance with screening standards affect the performance of firms?

- Dawood Ashraf, Muhammad Suhail Rizwan and Muhammad Wajid Raza
- Climate risk and corporate investment behavior in emerging economies

- Adam Arian and Muhammad A. Naeem
- Share pledging and stock price synchronicity: Evidence from China

- Yanbo Jin, Siqi Wei and Jian Xu
- On the communication efforts of the central banks in emerging economies: The case of India

- Suruchi Shrimali and Wasim Ahmad
- Political control, corporate governance and stock-price crash risk: Evidence from China

- Ziyao San, Shuai Wang, Zongfeng Xiu, Ling Zhou and Zejiang Zhou
- The impact of the openness of trade and finance on financial development: Evidence from emerging markets

- Liang Yinghao and Yan Jiajia
- Investigation of emerging market stress under various frequency bands: Evidence from FX market uncertainty and liquidity

- Samet Gunay, Barbara Dömötör and Attila András Víg
- The dog that didn't bite: Sudden Stops in Emerging and Developing Economies during COVID-19

- Eduardo A. Cavallo, Juan M. Hernández, María José González Jaramillo and Andrew Powell
- The effect of currency risk on crypto asset utilization in Türkiye

- Nico Oefele, Dirk G. Baur and Lee Smales
- Local credit in Brazil: The role of digital connectivity and education

- Lars Norden and Thiago Ribeiro
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