Economics at your fingertips  

Emerging Markets Review

2000 - 2018

Current editor(s): Jonathan A. Batten

From Elsevier
Bibliographic data for series maintained by Dana Niculescu ().

Access Statistics for this journal.
Track citations for all items by RSS feed
Is something missing from the series or not right? See the RePEc data check for the archive and series.

Volume 36, issue C, 2018

The role of covenants in bond issue. The case of Russian companies pp. 1-18 Downloads
Flavio Bazzana, Anna Zadorozhnaya and Roberto Gabriele
International financial integration: Stock return linkages and volatility transmission between Vietnam and advanced countries pp. 19-27 Downloads
Xuan Vinh Vo and Craig Ellis
Modeling recovery rates of corporate defaulted bonds in developed and developing countries pp. 28-44 Downloads
Medhi Mili, Jean-Michel Sahut and Frédéric Teulon
Size, value, profitability, and investment: Evidence from emerging markets pp. 45-59 Downloads
André Luis Leite, Marcelo Cabus Klotzle, Antonio Carlos Figueiredo Pinto and Aldo Ferreira da Silva
Does governing law affect bond spreads? pp. 60-78 Downloads
Dilip Ratha, Supriyo De and Sergio Kurlat
Having the wrong friends at the wrong time: Effects of political turmoil on politically-connected firms pp. 79-94 Downloads
Vinh Q.T. Dang and Erin P.K. So
Limits to arbitrage and the MAX anomaly in advanced emerging markets pp. 95-109 Downloads
Mostafa Seif, Paul Docherty and Abul Shamsuddin
Government connections and the persistence of profitability: Evidence from Chinese listed firms pp. 110-129 Downloads
Li Liu, Qigui Liu, Gary Tian and Peipei Wang
Emerging market corporate bond yields and monetary policy pp. 130-143 Downloads
Yannick Timmer
Bilateral adjustment of bank assets: Boom and bust pp. 144-158 Downloads
Caroline Mehigan
Technology-investing countries and stock return predictability pp. 159-179 Downloads
Paresh Kumar Narayan, Dinh Hoang Bach Phan and Seema Narayan
Dynamics of the Turkish paintings market: A comprehensive empirical study pp. 180-194 Downloads
Ender Demir, Giray Gözgör and Emre Sari

Volume 35, issue C, 2018

Interconnectedness and systemic risk of China's financial institutions pp. 1-18 Downloads
Gang-Jin Wang, Zhi-Qiang Jiang, Min Lin, Chi Xie and H. Eugene Stanley
The role of stock markets on environmental degradation: A comparative study of developed and emerging market economies across the globe pp. 19-30 Downloads
Sudharshan Reddy Paramati, Md Samsul Alam and Nicholas Apergis
Bank lending, deposits and risk-taking in times of crisis: A panel analysis of Islamic and conventional banks pp. 31-47 Downloads
Mansor Ibrahim and Syed Aun R. Rizvi
The determinants of Islamic bank capital decisions pp. 48-68 Downloads
Mohammad Bitar, M. Kabir Hassan and William J. Hippler
Which is the safe haven for emerging stock markets, gold or the US dollar? pp. 69-90 Downloads
Xiaoqian Wen and Hua Cheng
Housing market sentiment and intervention effectiveness: Evidence from China pp. 91-110 Downloads
Zhengyi Zhou
Asymmetric real exchange rates and poverty: The role of remittances pp. 111-119 Downloads
Nicholas Apergis and Arusha Cooray
Can Islamic banks have their own benchmark? pp. 120-136 Downloads
A.S.M.S. Azad, Saad Azmat, Abdelaziz Chazi and Amirul Ahsan
Shadow banking in Asia: Foreign versus domestic lending to real estate projects pp. 137-147 Downloads
Douglas Cumming, Grant Fleming and Liu, Zhangxin (Frank)
VC political connections and IPO earnings management pp. 148-163 Downloads
Wang, Qing (Sophie), Hamish Anderson and Jing Chi
Tail systemic risk and contagion: Evidence from the Brazilian and Latin America banking network pp. 164-189 Downloads
Miguel A. Rivera-Castro, Andrea Ugolini and Juan Arismendi Zambrano
Systemic risk network of Chinese financial institutions pp. 190-206 Downloads
Libing Fang, Boyang Sun, Huijing Li and Honghai Yu

Volume 34, issue C, 2018

Liquidity and macroeconomic management in emerging markets pp. 1-24 Downloads
Anup Chowdhury, Moshfique Uddin and Keith Anderson
Impact of wage rigidity on sovereign credit rating pp. 25-41 Downloads
Daecheon Yang and Jeongseok Song
Extreme dependence and risk spillovers between oil and Islamic stock markets pp. 42-63 Downloads
Syed Jawad Hussain Shahzad, Walid Mensi, Shawkat Hammoudeh, Mobeen Ur Rehman and Khamis H. Al-Yahyaee
Do financial structures affect exchange rate and stock price interaction? Evidence from emerging markets pp. 64-76 Downloads
Xiaobo Tang and Xingyuan Yao
Assessing the global productive efficiency of Chinese banks using the cross-efficiency interval and VIKOR pp. 77-86 Downloads
Meiqin Wu, Changhong Li, Jianping Fan, Xiangyu Wang and Zhenyu Wu
Risk contribution of the Chinese stock market to developed markets in the post-crisis period pp. 87-97 Downloads
Honghai Yu, Libing Fang, Boyang Sun and Donglei Du
Accounting for sovereign tail risk in emerging economies: The role of global and domestic risk factors pp. 98-110 Downloads
Tom Pak Wing Fong, Ka-Fai Li and John Fu
Local currency systemic risk pp. 111-123 Downloads
Nicola Borri
Does global fear predict fear in BRICS stock markets? Evidence from a Bayesian Graphical Structural VAR model pp. 124-142 Downloads
Elie Bouri, Rangan Gupta, Seyedmehdi Hosseini and Chi Keung Marco Lau
A tripartite inquiry into volatility-efficiency-integration nexus - case of emerging markets pp. 143-161 Downloads
Syed Aun R. Rizvi, Shaista Arshad and Nafis Alam
Immunity and infection: Emerging and developed market sovereign spreads over the Global Financial Crisis pp. 162-174 Downloads
Edgardo Cayon, Susan Thorp and Eliza Wu
Does quality of innovation, culture and governance drive FDI?: Evidence from emerging markets pp. 175-191 Downloads
P.N. Kayalvizhi and M. Thenmozhi

Volume 33, issue C, 2017

The effects of China's aid and trade on its ODI in African countries pp. 1-18 Downloads
Yan Dong and Cijun Fan
Why discouraged borrowers exist? An empirical (re)examination from less developed countries pp. 19-41 Downloads
Ana Paula Matias Gama, Fábio Dias Duarte and José Paulo Esperança
CEO power and its effect on performance and governance: Evidence from Chinese banks pp. 42-61 Downloads
Hsiu-I Ting, Horace Chueh and Pang-Ru Chang
All about fun(ds) in emerging markets? The case of equity mutual funds pp. 62-78 Downloads
Moritz Wagner and Dimitris Margaritis
Intraday volatility and the implementation of a closing call auction at Borsa Istanbul pp. 79-89 Downloads
A. Can Inci and Deniz Ozenbas
Identifying bubbles in Latin American equity markets: Phillips-Perron-based tests and linkages pp. 90-101 Downloads
Diego Escobari, Sergio Garcia and Cristhian Mellado
Sophistication and price impact of foreign investors in the Brazilian stock market pp. 102-139 Downloads
Walter Gonçalves and William Eid
Stock market's response to real output shocks in Eastern European frontier markets: A VARwAL model pp. 140-154 Downloads
Numan Ülkü, Duminda Kuruppuarachchi and Olga Kuzmicheva
Political risk and the cost of capital in the MENA region pp. 155-172 Downloads
Mohamed Belkhir, Narjess Boubakri and Jocelyn Grira
Co-movement of exchange rates with interest rate differential, risk premium and FED policy in “fragile economies” pp. 173-188 Downloads
Utku Ozmen and Erdal Yılmaz
Economic policy uncertainty and cash holdings: Evidence from BRIC countries pp. 189-200 Downloads
Ender Demir and Oguz Ersan
Stock market liquidity, family ownership, and capital structure choices in an emerging country pp. 201-231 Downloads
Mona A. ElBannan

Volume 32, issue C, 2017

Analyst coverage network and stock return comovement in emerging markets pp. 1-27 Downloads
Francisco Marcet
Corporate governance, bank concentration and economic growth pp. 28-37 Downloads
Boubacar Diallo
Information asymmetry and investor trading behavior around bond rating change announcements pp. 38-51 Downloads
Heejin Yang, Hee-Joon Ahn, Maria H. Kim and Doojin Ryu
The influence of risk-taking on bank efficiency: Evidence from Colombia pp. 52-73 Downloads
Miguel Sarmiento and Jorge Galan
Housing boom, real estate diversification, and capital structure: Evidence from China pp. 74-95 Downloads
Jialin Huang and Zhao Rong
Racing to the exits: International transmissions of funding shocks during the Federal Reserve's taper experiment pp. 96-115 Downloads
G. Andrew Karolyi and Kirsty J. McLaren
Does founder ownership affect foreign investments? Evidence from India pp. 116-129 Downloads
Yogesh Chauhan and Satish Kumar
Diversification potential of Asian frontier, BRIC emerging and major developed stock markets: A wavelet-based value at risk approach pp. 130-147 Downloads
Walid Mensi, Syed Jawad Hussain Shahzad, Shawkat Hammoudeh, Rami Zeitun and Mobeen Ur Rehman
The Determinants of Bond Market Development: Further Evidence from Emerging and Developed Countries pp. 148-167 Downloads
Houcem Smaoui, Martin Grandes and Akintoye Akindele
Credit funding and banking fragility: A forecasting model for emerging economies pp. 168-189 Downloads
Alexander Guarín López and Ignacio Lozano-Espitia
Domestic mergers and acquisitions in BRICS countries: Acquirers and targets pp. 190-199 Downloads
Harald Kinateder, Matthias Fabich and Niklas Wagner
Heavy tails and asymmetry of returns in the Russian stock market pp. 200-219 Downloads
Andrei Ankudinov, Rustam Ibragimov and Oleg Lebedev
Page updated 2018-12-16