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Emerging Markets Review2000 - 2025
 Current editor(s): Jonathan A. Batten From ElsevierBibliographic data for series maintained by Catherine Liu ().
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 Volume 33, issue C, 2017
 
  The effects of China's aid and trade on its ODI in African countries   pp. 1-18 Yan Dong and Cijun FanWhy discouraged borrowers exist? An empirical (re)examination from less developed countries   pp. 19-41 Ana Paula Matias Gama, Fábio Dias Duarte and José Paulo EsperançaCEO power and its effect on performance and governance: Evidence from Chinese banks   pp. 42-61 Hsiu-I Ting, Horace Chueh and Pang-Ru ChangAll about fun(ds) in emerging markets? The case of equity mutual funds   pp. 62-78 Moritz Wagner and Dimitris MargaritisIntraday volatility and the implementation of a closing call auction at Borsa Istanbul   pp. 79-89 A. Can Inci and Deniz OzenbasIdentifying bubbles in Latin American equity markets: Phillips-Perron-based tests and linkages   pp. 90-101 Diego Escobari, Sergio Garcia and Cristhian MelladoSophistication and price impact of foreign investors in the Brazilian stock market   pp. 102-139 Walter Gonçalves and William EidStock market's response to real output shocks in Eastern European frontier markets: A VARwAL model   pp. 140-154 Numan Ülkü, Duminda Kuruppuarachchi and Olga KuzmichevaPolitical risk and the cost of capital in the MENA region   pp. 155-172 Mohamed Belkhir, Narjess Boubakri and Jocelyn GriraCo-movement of exchange rates with interest rate differential, risk premium and FED policy in “fragile economies”   pp. 173-188 Utku Ozmen and Erdal YılmazEconomic policy uncertainty and cash holdings: Evidence from BRIC countries   pp. 189-200 Ender Demir and Oguz ErsanStock market liquidity, family ownership, and capital structure choices in an emerging country   pp. 201-231 Mona Elbannan Volume 32, issue C, 2017
 
  Analyst coverage network and stock return comovement in emerging markets   pp. 1-27 Francisco MarcetCorporate governance, bank concentration and economic growth   pp. 28-37 Boubacar DialloInformation asymmetry and investor trading behavior around bond rating change announcements   pp. 38-51 Heejin Yang, Hee-Joon Ahn, Maria H. Kim and Doojin RyuThe influence of risk-taking on bank efficiency: Evidence from Colombia   pp. 52-73 Miguel Sarmiento and Jorge GalanHousing boom, real estate diversification, and capital structure: Evidence from China   pp. 74-95 Jialin Huang and Zhao RongRacing to the exits: International transmissions of funding shocks during the Federal Reserve's taper experiment   pp. 96-115 G. Andrew Karolyi and Kirsty J. McLarenDoes founder ownership affect foreign investments? Evidence from India   pp. 116-129 Yogesh Chauhan and Satish KumarDiversification potential of Asian frontier, BRIC emerging and major developed stock markets: A wavelet-based value at risk approach   pp. 130-147 Walid Mensi, Syed Jawad Hussain Shahzad, Shawkat Hammoudeh, Rami Zeitun and Mobeen Ur RehmanThe Determinants of Bond Market Development: Further Evidence from Emerging and Developed Countries   pp. 148-167 Houcem Smaoui, Martin Grandes and Akintoye AkindeleCredit funding and banking fragility: A forecasting model for emerging economies   pp. 168-189 Alexander Guarín López and Ignacio Lozano-EspitiaDomestic mergers and acquisitions in BRICS countries: Acquirers and targets   pp. 190-199 Harald Kinateder, Matthias Fabich and Niklas WagnerHeavy tails and asymmetry of returns in the Russian stock market   pp. 200-219 Andrei Ankudinov, Rustam Ibragimov and Oleg Lebedev Volume 31, issue C, 2017
 
  Digesting anomalies in emerging European markets: A comparison of factor pricing models   pp. 1-15 Adam Zaremba and Anna CzapkiewiczVolatility spillover and hedging effectiveness among China and emerging Asian Islamic equity indexes   pp. 16-31 Jihed Majdoub and Salim Ben SassiSpillovers from the United States to Latin American and G7 stock markets: A VAR quantile analysis   pp. 32-46 Helena Chuliá, Montserrat Guillén and Jorge UribeIs the profitability of Indian stocks compensation for risks?   pp. 47-64 Paresh Narayan, Dinh Phan and Deepa BannigidadmathDeterminants of asymmetric loss recognition timeliness in public and private firms in Brazil   pp. 65-79 Antonio Carlos Coelho, Fernando Caio Galdi and Alexsandro Broedel LopesCurrency risk and microcredit interest rates   pp. 80-95 Moh'd Al-Azzam and Karim MimouniThe kidnapping of Europe: High-order moments' transmission between developed and emerging markets   pp. 96-115 Esther B. Del Brio, Andrés Mora-Valencia and Javier PeroteMonetary policy and bank risk-taking: Evidence from emerging economies   pp. 116-140 Minghua Chen, Ji Wu, Bang Jeon and Rui WangNoisy prices and the Fama–French five-factor asset pricing model in China   pp. 141-163 Qi LinChina's slowdown and global financial market volatility: Is world growth losing out?   pp. 164-175 Paul Cashin, Kamiar Mohaddes and Mehdi RaissiMutual funds and stock market volatility: An empirical analysis of Asian emerging markets   pp. 176-192 Fiza Qureshi, Ali Kutan, Izlin Ismail and Sok-Gee ChanThe impact of oil price movements on bank non-performing loans: Global evidence from oil-exporting countries   pp. 193-208 Osamah M. Al-Khazali and Ali Mirzaei Volume 30, issue C, 2017
 
  The effect of ownership concentration and composition on dividends: Evidence from Latin America   pp. 1-18 Maximiliano Gonzalez, Carlos Molina Manzano, Eduardo Pablo and John W. RossoWhen secured and unsecured creditors recover the same: The emblematic case of the Tunisian corporate bankruptcies   pp. 19-41 Régis Blazy and Aziza LetaiefReligion and ratio analysis: Towards an Islamic corporate liquidity measure   pp. 42-65 Ahmed M. Elnahas, M. Kabir Hassan and Ghada M. IsmailThe role of Islamic asset classes in the diversified portfolios: Mean variance spanning test   pp. 66-95 Ginanjar Dewandaru, Rumi Masih, Obiyathulla Bacha and A. Mansur M. MasihSovereign wealth funds investment effects on target firms' competitors   pp. 96-112 Narjess Boubakri, Jean-Claude Cosset and Jocelyn GriraThe effect of corporate governance on firm value and profitability: Time-series evidence from Turkey   pp. 113-132 Melsa Ararat, Bernard Black and Burcin YurtogluRisk-neutral valuation of the non-recourse protection in reverse mortgages: A case study for Korea   pp. 133-154 Joseph H.T. Kim and Johnny S.H. LiDoes an IFRS adoption increase value relevance and earnings timeliness in Latin America?   pp. 155-168 Martha del Pilar Rodríguez García, Klender Aimer Cortez Alejandro, Alma Berenice Méndez Sáenz and Héctor Horacio Garza SánchezDebt maturity across firm types: Evidence from a major developing economy   pp. 169-199 Cuneyt Orman and Bülent KöksalHow credit ratings affect sovereign credit risk: Cross-border evidence in Latin American emerging markets   pp. 200-214 Laura Ballester and Ana González-UrteagaCommodity price cycles and financial pressures in African commodities exporters   pp. 215-231 Akassi Kablan, Zied Ftiti and Khaled GuesmiFrontier and emerging government bond markets   pp. 232-255 Vanja Piljak and Laurens Swinkels Volume 29, issue C, 2016
 
  Alternative investments in emerging markets: A review and new trends   pp. 1-23 Douglas Cumming and Yelin ZhangDo political connections matter in accessing capital markets? Evidence from China   pp. 24-41 Xiaolu Bao, Sofia Johan and Kenji KutsunaVenture capital investors and foreign listing choices of Chinese companies   pp. 42-67 Cheng Cheng and Armin SchwienbacherPolitical instability, access to private debt, and innovation investment in China   pp. 68-81 Douglas Cumming, Oliver Rui and Yiping WuOverreaction in ChiNext IPOs' initial returns: How much and what caused it?   pp. 82-103 Qi Deng and Zhong-guo ZhouDeterminants of venture capital investments in emerging markets   pp. 104-132 Alexander Peter Groh and Johannes WallmerothPrivate equity exits in emerging markets   pp. 133-153 Sofia Johan and Minjie ZhangPolicies of promoting entrepreneurship and Angel Investment: Evidence from China   pp. 154-167 Changhong Li, Yulin Shi, Cong Wu, Zhenyu Wu and Li ZhengHeterogeneous venture capital, M&A activity, and market response   pp. 168-199 Wanli Li, Ting Cao and Zhaozhen FengRed obsession: The ascent of fine wine in China   pp. 200-225 Philippe Masset, Jean-Philippe Weisskopf, Benoît Faye and Eric Le FurVenture capitalist participation and the performance of Chinese IPOs   pp. 226-245 Isaac Otchere and Anna P.I. VongThe effect of listing switches from a growth market to a main board: An alternative perspective   pp. 246-273 Jong-Ho Park, Ki Beom Binh and Kyong Shik EomPay-performance sensitivity and risk-taking behaviors: Evidence from closed-end funds   pp. 274-288 Tianna Yang and Wenxuan Hou |  |