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Emerging Markets Review

2000 - 2025

Current editor(s): Jonathan A. Batten

From Elsevier
Bibliographic data for series maintained by Catherine Liu ().

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Volume 28, issue C, 2016

Family control, accounting misstatements, and market reactions to restatements: Evidence from China pp. 1-27 Downloads
Liangbo Ma, Shiguang Ma and Gary Tian
Incubation and copying equity funds in China pp. 28-43 Downloads
Yaping Wang, Miyoun Paek and Kwangsoo Ko
Panel multi-predictor test procedures with an application to emerging market sovereign risk pp. 44-60 Downloads
Joakim Westerlund and Kannan Thuraisamy
Multiple directorships, family ownership and the board nomination committee: International evidence from the GCC pp. 61-88 Downloads
Baban Eulaiwi, Ahmed Al-Hadi, Grantley Taylor, Khamis Al-Yahyaee and John Evans
Banking competition and firm-level financial constraints in Latin America pp. 89-104 Downloads
Roberto Alvarez and Mauricio Jara Bertin
Intraday return predictability, portfolio maximisation, and hedging pp. 105-116 Downloads
Paresh Narayan and Susan Sharma
The bank–firm relationship during economic transition: The impacts on bank performance in emerging economies pp. 117-139 Downloads
Mamoru Nagano
Calendar trading of Taiwan stock market: A study of holidays on trading detachment and interruptions pp. 140-154 Downloads
Ann Shawing Yang
New evidence on hedges and safe havens for Gulf stock markets using the wavelet-based quantile pp. 155-183 Downloads
Walid Mensi, Shawkat Hammoudeh and Aviral Tiwari
Impact of terrorist attacks on stock market volatility in emerging markets pp. 184-202 Downloads
Ayman Mnasri and Salem Nechi
Corporate boards, large blockholders and executive compensation in banks: Evidence from Poland pp. 203-220 Downloads
Agnieszka Slomka-Golebiowska and Piotr Urbanek
The internationalisation of the RMB: New starts, jumps and tipping points pp. 221-238 Downloads
Jonathan Batten and Peter Szilagyi

Volume 27, issue C, 2016

On time-varying predictability of emerging stock market returns pp. 1-13 Downloads
Benjamin R. Auer
Financial crises and contagion vulnerability of MENA stock markets pp. 14-35 Downloads
Simon Neaime
Bank market power, ownership, regional presence and revenue diversification: Evidence from Africa pp. 36-62 Downloads
My Nguyen, Shrimal Perera and Michael Skully
Board structure, controlling ownership, and business groups: Evidence from India pp. 63-83 Downloads
Yogesh Chauhan, Dipanjan Kumar Dey and Rajneesh Ranjan Jha
Measuring volatility persistence for conventional and Islamic banks: An FI-EGARCH approach pp. 84-99 Downloads
Mohamed Fakhfekh, Nejib Hachicha, Fredj Jawadi, Nadhem Selmi and Abdoulkarim Idi Cheffou
Investor protection and dividend policy: The case of Islamic and conventional banks pp. 100-117 Downloads
Seyed Alireza Athari, Cahit Adaoglu and Eralp Bektas
Linkages in the term structure of interest rates across sovereign bond markets pp. 118-139 Downloads
Subramaniam Sowmya, Krishna Prasanna and Saumitra Bhaduri
The role of country-specific fundamentals in sovereign CDS spreads: Eastern European experiences pp. 140-168 Downloads
Zalan Kocsis and Zoltán Monostori
Escaping financial crises? Macro evidence from sovereign wealth funds' investment behaviour pp. 169-196 Downloads
Alessio Ciarlone and Valeria Miceli
The role of sovereign credit ratings in fiscal discipline pp. 197-216 Downloads
Meryem Duygun, Huseyin Ozturk and Mohamed Shaban

Volume 26, issue C, 2016

The price of freedom: A Fama–French freedom factor pp. 1-19 Downloads
Marshall L. Stocker
What is the value of corporate sponsorship in sports? pp. 20-33 Downloads
Paresh Narayan, Badri Rath and K.P. Prabheesh
Does financial development reduce income inequality and poverty? Evidence from emerging countries pp. 34-63 Downloads
Ünal Seven and Yener Coskun
Foreign currency exposure and balance sheet effects: A firm-level analysis for Korea pp. 64-79 Downloads
Yun Jung Kim
The price impact of futures trades and their intraday seasonality pp. 80-98 Downloads
Robert I. Webb, Doojin Ryu, Doowon Ryu and Joongho Han
Institutions and corporate capital structure in the MENA region pp. 99-129 Downloads
Mohamed Belkhir, Aktham Maghyereh and Basel Awartani
Network structure analysis of the Brazilian interbank market pp. 130-152 Downloads
Thiago Silva, Sergio Rubens Stancato de Souza and Benjamin Tabak
Stock return predictability and determinants of predictability and profits pp. 153-173 Downloads
Deepa Bannigidadmath and Paresh Narayan
Macroeconomic shocks, bank stability and the housing market in Venezuela pp. 174-196 Downloads
Oscar Carvallo and Carolina Pagliacci
Institutional investor heterogeneity and firm valuation: Evidence from Latin America pp. 197-221 Downloads
Maria Camila De-la-Hoz and Carlos Pombo

Volume 25, issue C, 2015

Tapering talk: The impact of expectations of reduced Federal Reserve security purchases on emerging markets pp. 1-15 Downloads
Barry Eichengreen and Poonam Gupta
Currency composition of reserves, trade invoicing and currency movements pp. 16-29 Downloads
Hiro Ito, Robert McCauley and Tracy Chan
Infant firms in emerging market: An analysis of stand-alones vs. subsidiaries pp. 30-52 Downloads
Soo Jin Kim, Woojin Kim and Dong Ryung Yang
Risk governance and Asian bank performance: An empirical investigation over the financial crisis pp. 53-68 Downloads
Francesca Battaglia and Angela Gallo
The political determinants of executive compensation: Evidence from an emerging economy pp. 69-91 Downloads
Hao Liang, Luc Renneboog and Sunny Li Sun
Benchmarking the financial performance, growth, and outreach of greenfield MFIs in Africa pp. 92-124 Downloads
Robert Cull, Sven Harten, Ippei Nishida, Anca Bogdana Rusu and Greta Bull
Does the Euro affect the dynamic relation between stock market liquidity and the business cycle? pp. 125-153 Downloads
K. Smimou and Wajih Khallouli
Competition in the banking sector: New evidence from a panel of emerging market economies and the financial crisis pp. 154-162 Downloads
Nicholas Apergis
FX funding risks and exchange rate volatility pp. 163-175 Downloads
Jack Joo K. Ree, Kyoungsoo Yoon and Hail Park
Microlevel impacts of remittances on household behavior: Viet Nam case study pp. 176-190 Downloads
Thi Thanh Nga Bui, Thi Thanh Ngan Le and Kevin James Daly

Volume 24, issue C, 2015

The formulation of the four factor model when a considerable proportion of firms is dual-listed pp. 1-12 Downloads
Sharon Garyn-Tal and Beni Lauterbach
Impact of changes in the CSI 300 Index constituents pp. 13-33 Downloads
Chuan Wang, Zoltan Murgulov and Janto Haman
The effects of fiscal opacity on sovereign credit spreads pp. 34-45 Downloads
Maurice Peat, Jiri Svec and Jue Wang
Causality between inflation and inflation uncertainty in South Africa: Evidence from a Markov-switching vector autoregressive model pp. 46-68 Downloads
Adnen Ben Nasr, Mehmet Balcilar, Ahdi Noomen Ajmi, Goodness C. Aye, Rangan Gupta and Renee van Eyden
Financing decisions and gains from cross-border acquisitions by emerging-market acquirers pp. 69-80 Downloads
Bülent Aybar and Thanarerk Thanakijsombat
Testing for stock return predictability in a large Chinese panel pp. 81-100 Downloads
Joakim Westerlund, Paresh Narayan and Xinwei Zheng
Are Sharia stocks, gold and U.S. Treasury hedges and/or safe havens for the oil-based GCC markets? pp. 101-121 Downloads
Walid Mensi, Shawkat Hammoudeh, Juan Reboredo and Duc Khuong Nguyen
Corruption and bank risk-taking: Evidence from emerging economies pp. 122-148 Downloads
Minghua Chen, Bang Jeon, Rui Wang and Ji Wu
CEO career concerns and investment efficiency: Evidence from China pp. 149-159 Downloads
Jun Xie
Regional and global spillovers and diversification opportunities in the GCC equity sectors pp. 160-187 Downloads
Mehmet Balcilar, Riza Demirer and Shawkat Hammoudeh
Page updated 2025-03-31