Emerging Markets Review
2000 - 2026
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 73, issue C, 2026
- Income inequality and risky borrowing: The city-level perspective from credit information bureau data

- Aneta Maria Klopocka and Maria Gabriela Vivero
- Does family ownership benefit non-listed firms? Evidence from family-owned non-listed insurance companies in Thailand

- Norrasate Sritanee, Ravi Lonkani and Piman Limpaphayom
- Herd behaviour, volatility clustering and the Indian stock market: An empirical investigation

- Sanath Lakshminarayana, Atul Kashyap and Nawazuddin Ahmed
- State-dependent assessment of the deposit–credit channel in Latin America

- Renzo Pardo-Figueroa
- State-owned capital participation and deleveraging of over-indebted private-owned enterprises: Evidence from China

- Xiaoxia Liu and Minghui Li
- Political polarization between foreign and local investment in emerging markets

- Paul Marmora
- The impact of global regional trade agreement network centrality on exports

- Xiaozhuo Wang and Bei Ni
- Risk spillovers and portfolio diversification: Empirical evidence from emerging and traditional assets

- Fenglin Wu, Ran Lu, Zibing Dong, Muhammad Abubakr Naeem and Yanshuang Li
- E-commerce development and household portfolio decisions in rural China

- Yuanyuan Chen, Zhiming Cheng, Haining Wang and Le Zhang
- Minority shareholders protection and the incremental textual information in analysts' reports: A quasi-natural experiment in China

- Niuniu Fan, Jie Su and Yao Chen
- Government-owned banks and crisis credit allocation: Evidence from fiscal liquidity placement in Indonesia

- Graha Yudha
- Hierarchical reform, political connection and land transfer

- Shao-Chieh Hsueh, Hao Liu and Shuoxun Zhang
- A tale of two major emerging markets: How corporate financialization and financial risk shape R&D investments in India and China

- Madheshiya Varsha and Krishna Prasanna
- Corrigendum to “Reexamining the effects of FinTech on household consumption: A perspective on monopoly alleviation” [Emerging Markets Review Volume 71 (2026), 101430]

- Hang Cai, Ying Liu and Zhitao Xiong
- The innovation channel of monetary policy and credit supply shocks on firm investment: Evidence from R&D-intensive firms in India

- Pragati Priya
- A new measure of cyclical credit portfolio allocation under uncertainty: Evidence from the Vietnamese banking system

- Nhat Duy Lai
- Empirical analysis of corporate credit lines in a turbulent time: The case of Russia

- Anna Burova, Irina Kozlovtceva and Andrey Sinyakov
- Impact of the crises on household consumption patterns: An analysis of Russian regions

- Valentin Voytenkov
- Corporate digital responsibility dividend: Ethical practices and product market performance

- Weijie Tan, Yuzhao Ren and Xihui Haviour Chen
- Art pricing in the emerging markets: An empirical analysis

- Taisia Pimenova, Valeria Kolycheva, Alexander Semenov and Dmitry Grigoriev
- A four-factor model for the Indonesia stock market

- Nanqi Li, Chishen Wei and Linti Zhang
- Cost of external debt and commodity price movement: A focus on African countries

- Stella Muhanji, Kalu Ojah and Issouf Soumaré
- Modeling real exchange rate misalignments: Implications on the estimation of half-lives

- Megumi Kubota
- The importance of information channels for cross-border M&A: An analysis of Google's arrival and departure from China

- Laurie Krigman, Yaohua Qin, Syed Shams and He Xiao
- Family labor supply and wage shocks in an emerging market: Evidence from Russia

- Alexey Zamnius
- Signaling and FDI: Evidence from the international mega-events in China

- Hejie Zhang and Hongzhong Fan
- The effect of green investors on firms' trade credit

- Yiyun Ge, Hanbin Zhu and Ruixuan Zhang
- Climate transition risk and corporate bond pricing

- Yizhe Dong, Yaorong Liu, Tianju Wang and Longyao Zhang
- Demography and savings: Evidence from a Russian household survey

- Evguenia Bessonova, Irina Denisova, Nadezhda Ivanova and Alexandra Moskaleva
- AI innovation spillovers along the supply chain: Evidence from contractual relationship stability

- Haowen Tian, Luyao Wang, Kun Su and Wenlan Xie
- Export specialization, foreign currency debt, and resilience during crises

- Renzo Pardo-Figueroa
- Bank capital adjustment to public debt shocks: The role of institutions in emerging markets

- Carlos Giraldo, Iader Giraldo, Jose Gomez-Gonzalez and Jorge Uribe
- Impact of cash flow hedge accounting on future profitability and stock returns: A cross-country comparison

- Douglas Augusto de Paula, Eduardo Flores and John L. Campbell
- Does underwriter digitalization enhance IPO pricing efficiency?

- Yanyan Shen, Xiaojia Zheng and Zhihong Jiang
Volume 72, issue C, 2026
- Transition to a low-carbon economy and its implications for financial stability in Russia

- Anna Burova, Elena Deryugina, Nadezhda Ivanova, Maxim Morozov and Natalia Turdyeva
- Does sentiment influence corporate innovation investment?

- Karam Kim, Jonathan A. Batten and Doojin Ryu
- Non-local chambers of commerce and corporate innovation

- Mingxing Shao, Tingyu Zhao and Wen Wen
- Asymmetric impact of compliance management reform on opportunistic insider trading: Evidence from Chinese state-owned enterprises

- Wencheng Cao, Yuan George Shan and Joey Wenling Yang
- Government ownership and stock price crash risk in banks: International evidence

- Narjess Boubakri, Efe Cotelioglu and Anis Samet
- Stylized facts of cryptocurrency markets: Robust definitions and inference approaches

- Nursultan Abdullaev and Rustam Ibragimov
- Payment holidays, credit risk, and borrower-based limits: Insights from the Czech mortgage market

- Martin Hodula, Lukáš Pfeifer and David Pacoň
- Rewiring finance for inclusion: Digital and traditional mechanisms in African banking

- Marwa Elnahass, Karim Iddouch, Sanaa Rezki and Sara Eloueldrhiri
- Buckle-up and accelerate: Insider's private effort during M&A

- Ya Gao, Jian Song, Jun Wen and Xiaozhou Zhou
- Interconnected ownership and earnings management: Supplier-customer collusion in China's IPO context

- Yue Xu, Wei Jiang and Sujuan Xie
- Compromised employee attention: Overnight returns and labor productivity

- Dongxu Li, Xinqi Li and Ruiyang Zou
- Bank ownership, governance changes, and small business lending in Indonesia: A two-stage estimation approach

- Ririen Setiati Riyanti, Iván Arribas, Silvia Pazzi and Emili Tortosa-Ausina
- Does international oil price risk affect the corporate propensity to save? Evidence from China

- Yong Wang, Cheung, Adrian (Wai Kong), Erwei Xiang and Wei Hu
- The effect of bankruptcy enforcement on debt structure concentration – Evidence from the establishment of specialized bankruptcy courts in China

- Yuxiang Zhong, Xinyue Zhang and Lulin Huang
- Are more disclosures always better? Data asset information disclosure and cost of debt in China

- Yanlin Wei, Junrui Zhang, Tingting Liu, Fanghua Wang and Xingqiang Yin
Volume 71, issue C, 2026
- Macroprudential policy and bank systemic risk: Does inflation targeting matter?

- Farah Mugrabi, Mohamed Belkhir, Sami Ben Naceur, Bertrand Candelon and Woon Gyu Choi
- How does housing wealth affect happiness?

- Mingzhi Hu and Yinxin Su
- Who falls behind under interest rate shock? Early evidence from households with variable-rate mortgages

- Katarzyna Kochaniak and Agnieszka Huterska
- What role do limited partnership agreements play in labor investment efficiency? Evidence from Chinese markets

- Meixi Chen, Yi-Chang Chen and Zhihua Wei
- Peer effects of corporate ESG practice: Incorporating the impact of ESG rating disagreement

- Shaolin Wang, Jianli Wang, Minghua Dong and Jingyuan Li
- Tax authority independence and earnings management

- Honghui Zhang, Yuanyuan Hu and Linyi Zhang
- An explainable machine learning model for consumer credit scoring in Mexico

- David Ugarte Chacon, Seohyun Lee and Jaehyuk Park
- Contagion risk prediction with Chart Graph Convolutional Network: Evidence from Chinese stock market

- Zhensong Chen, Wenjun Zhang and Yinhong Yao
- Banks' foreign currency revaluations and liquidity creation

- Vladimir Sokolov and Aleksei Gorodilov
- The local influence of fund management company shareholders on fund investment decisions and performance

- Xin Hong, Jia Mao and Zhuang Zhuang
- Effects of superstition on household consumption: Evidence from “zodiac-year” beliefs in China

- Yang Hu, Wei Cui and Yongli Zhang
- Reexamining the effects of FinTech on household consumption: A perspective on monopoly alleviation

- Hang Cai, Ying Liu and Zhitao Xiong
- Information infrastructure, knowledge spillover, and technological innovation — Evidence from the internet penetration rates of emerging market

- Wang Lumeng, Chen Shilai, Hoje Jo and Muhammad Safdar Sial
- The impact of non-state shareholder governance on state-owned enterprises' ESG performance in China

- Xuexin Liu, Xiaomeng Tang, Xiaoxu Kong, Jijun Gao and Lihua Jiang
- Do state religions affect entrepreneurial financing? A cross-country analysis

- Min Maung
- Reap what you sow: Corporate political activities and the external governance environment

- Xuan He and Weicheng Xiao
- Individual ethics and economic policy uncertainty

- Tyler Hull, Ping McLemore and Uchenna C. Onuoha
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