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Emerging Markets Review

2000 - 2018

Current editor(s): Jonathan A. Batten

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

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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