Emerging Markets Review
2000 - 2025
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 12, issue 4, 2011
- Geographical focus in emerging markets and hedge fund performance pp. 309-320

- Juha Kotkatvuori-Örnberg, Jussi Nikkinen and Jarkko Peltomäki
- Exchange rate exposure: A nonparametric approach pp. 321-337

- Uluc Aysun and Melanie Guldi
- The role of the stock market in the provision of Islamic development finance: Evidence from Sudan pp. 338-353

- Bruce Hearn, Jenifer Piesse and Roger Strange
- Regional financial integration in the GCC pp. 354-370

- Raphael Espinoza, Ananthakrishnan Prasad and Oral Williams
- Monetary autonomy in emerging market economies: The role of foreign reserves pp. 371-388

- Hiroyuki Taguchi
- The determinants of China's outward foreign direct investment pp. 389-398

- Xiaoxi Zhang and Kevin Daly
- Housing wealth effect in emerging economies pp. 399-417

- Alessio Ciarlone
- Stock market correlations between China and its emerging market neighbors pp. 418-431

- Shamila A. Jayasuriya
- Analysing interconnectivity among economies pp. 432-442

- Alfred Y-T. Wong and Tom Fong
- Relationship between portfolio diversification and value at risk: Empirical evidence pp. 443-459

- Khurshid Kiani
- Financial integration and currency risk premium in CEECs: Evidence from the ICAPM pp. 460-484

- Salem Boubakri and Cyriac Guillaumin
- Foreign equity flows and the “Size Bias”: Evidence from an emerging stock market pp. 485-509

- Erkin Diyarbakirlioglu
Volume 12, issue 3, 2011
- Explaining over-subscription in fixed-price IPOs -- Evidence from the Malaysian stock market pp. 205-216

- Soo-Wah Low and Othman Yong
- Are GCC stock markets predictable? pp. 217-237

- Jorg Bley
- On the performance of emerging market equity mutual funds pp. 238-249

- Joop Huij and Thierry Post
- Emerging country cross-border acquisitions: Characteristics, acquirer returns and cross-sectional determinants pp. 250-271

- Sanjai Bhagat, Shavin Malhotra and PengCheng Zhu
- Stock market volatility and exchange rates in emerging countries: A Markov-state switching approach pp. 272-292

- Walid Chkili, Chaker Aloui, Omar Masood and John Fry
- Calendar anomalies in the Gulf Cooperation Council stock markets pp. 293-307

- Rima Turk Ariss, Rasoul Rezvanian and Seyed M. Mehdian
Volume 12, issue 2, 2011
- Demography, credit and institutions: A global perspective pp. 79-93

- Rabah Arezki
- Efficiency and bank profitability in MENA countries pp. 94-110

- Dennis Olson and Taisier A. Zoubi
- Eastern and Western European firms public and private information quality: The comparative impact of degree of implementation of IFRS pp. 111-129

- Arsen Djatej, Grace Gao, Robert H.S. Sarikas and David L. Senteney
- The impact of corporate governance measures on the performance of West African IPO firms pp. 130-151

- Bruce Hearn
- Performance and characteristics of acquiring firms in the Chinese stock markets pp. 152-170

- Jing Chi, Qian Sun and Martin Young
- Governance, monitoring and foreign investment in Chinese companies pp. 171-188

- Anil Mishra and Ronald Ratti
- Risk and return characteristics of Islamic equity funds pp. 189-203

- Raphie Hayat and Roman Kraeussl
Volume 12, issue 1, 2011
- The effects of bank regulations, competition, and financial reforms on banks' performance pp. 1-20

- Sami Ben Naceur and Mohammed Omran
- Modelling size and liquidity in North African industrial sectors pp. 21-46

- Bruce Hearn
- Emerging market benefits, investability and the rule of law pp. 47-60

- Bonnie Buchanan, Philip C. English and Rachel Gordon
- The impact of oil price shocks on stock market returns: Comparing GCC countries with the UK and USA pp. 61-78

- Abdallah Fayyad and Kevin Daly
Volume 11, issue 4, 2010
- Emerging art markets pp. 301-318

- Roman Kraeussl and Robin Logher
- The relation between firm-level corporate governance and market value: A case study of India pp. 319-340

- N. Balasubramanian, Bernard Black and Vikramaditya Khanna
- Firms in the great global recession: The role of foreign ownership and financial dependence pp. 341-357

- Marcin Kolasa, Michał Rubaszek and Daria Taglioni
- Oil shocks and stock returns: The case of the Central and Eastern European (CEE) oil and gas sectors pp. 358-372

- Sunil Mohanty, Mohan Nandha and Gabor Bota
- On the estimation of the cost of equity in Latin America pp. 373-389

- Martin Grandes, Demian Panigo and Ricardo A. Pasquini
- Re-examining the impact of foreign bank participation on interest margins in emerging markets pp. 390-403

- Tigran Poghosyan
- Availability of financial services and income inequality: The evidence from many countries pp. 404-408

- Rajen Mookerjee and Paul Kalipioni
Volume 11, issue 3, 2010
- The sequencing of stock market liberalization events and corporate financing decisions pp. 183-204

- Thomas Flavin and Thomas O'Connor
- Economic determinates, financial crisis and entry modes of foreign banks into emerging markets pp. 205-228

- Aneta Hryckiewicz and Oskar Kowalewski
- The role of macroeconomic variables in sovereign risk pp. 229-249

- Marco S. Matsumura and José Valentim Vicente
- Global and regional spillovers in emerging stock markets: A multivariate GARCH-in-mean analysis pp. 250-260

- John Beirne, Guglielmo Maria Caporale, Marianne Schulze-Ghattas and Nicola Spagnolo
- The predictive power of the yield spread in timing the stock market pp. 261-272

- Saumitra Bhaduri and Ravi Saraogi
- Determinants of capital inflows into Asia: The relevance of contagion effects as push factors pp. 273-284

- Sophie Brana and Delphine Lahet
- New evidence on the pricing and performance of initial public offerings in Thailand, 1997-2008 pp. 285-299

- Jirapun Chorruk and Andrew Worthington
Volume 11, issue 2, 2010
- Split sovereign ratings and rating migrations in emerging economies pp. 79-97

- Rasha Al-Sakka and Owain ap Gwilym
- Subjective perceptions of financing constraints: How well do they reflect credit market conditions? pp. 98-105

- Lawrence Bouton and Erwin R. Tiongson
- Law, regulation and institutions for financial development: Evidence from India pp. 106-118

- Francis Rathinam and Angara V. Raja
- On the relationship between economic freedom and equity returns in the emerging markets: Evidence from the Middle East and North Africa (MENA) stock markets pp. 119-151

- Kamal Smimou and Amela Karabegovic
- How far apart are the two ACUs from each other? Asian currency unit and Asian currency union pp. 152-172

- Shingo Watanabe and Masanobu Ogura
- The role of domestic fundamentals on the economic vulnerability of emerging markets pp. 173-182

- Katia Rocha and Ajax Moreira
Volume 11, issue 1, 2010
- Signals from housing and lending booms pp. 1-20

- Irina Bunda and Michele Ca' Zorzi
- Corporate governance in Brazil pp. 21-38

- Bernard Black, Antonio Gledson de Carvalho and Érica Gorga
- Equity price bubbles in the Middle Eastern and North African Financial markets pp. 39-48

- Mohammad Jahan-Parvar and George Waters
- Pricing emerging market stock returns: An update pp. 49-61

- Richard Barclay, Jonathan Fletcher and Andrew Marshall
- Does cultural distance matter in international stock market comovement? Evidence from emerging economies around the world pp. 62-78

- Brian Lucey and QiYu Zhang
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