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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 7, issue 4, 2006

Financial market development in the Central and Eastern European countries pp. 279-279 Downloads
Javier Estrada
Financial market development in the Central and Eastern European Countries pp. 280-282 Downloads
Tom Berglund, Jan Hanousek and Dusan Mramor
Strategies of foreign banks in transition economies pp. 283-299 Downloads
Rainer Haselmann
Foreign direct investment in the financial sector and economic growth in Central and Eastern Europe: The crucial role of the efficiency channel pp. 300-319 Downloads
Markus Eller, Peter Haiss and Katharina Steiner
The role of cash holdings in reducing investment-cash flow sensitivity: Evidence from a financial crisis period in an emerging market pp. 320-338 Downloads
Ozgur Arslan, Chris Florackis and Aydin Ozkan
Is locking domestic funds into the local market beneficial? Evidence from the Polish pension reforms pp. 339-360 Downloads
Anna Zalewska
Corporate governance indices and firms' market values: Time series evidence from Russia pp. 361-379 Downloads
Bernard Black, Inessa Love and Andrei Rachinsky
Risks of investing in the Russian stock market: Lessons of the first decade pp. 380-397 Downloads
Alexei Goriaev and Alexei Zabotkin

Volume 7, issue 3, 2006

Coming to America: IPOs from emerging market issuers pp. 191-212 Downloads
Robert Bruner, Susan Chaplinsky and Latha Ramchand
Earnings estimates in emerging markets--an update pp. 213-227 Downloads
George R. Hoguet
The unexplained part of public debt pp. 228-243 Downloads
Camila F.S. Campos, Dany Jaimovich and Ugo Panizza
M&A market in transition economies: Evidence from Romania pp. 244-260 Downloads
Diana Pop
Changes in the dynamic behavior of emerging market volatility: Revisiting the effects of financial liberalization pp. 261-278 Downloads
Juncal Cuñado, Javier Gómez Biscarri and Fernando Pérez de Gracia

Volume 7, issue 2, 2006

International equity portfolios: Selecting the right benchmark for emerging markets pp. 111-128 Downloads
Olfa Hamza, Mohamed Kortas, Jean-Francois L'Her and Mathieu Roberge
European Union enlargement and equity markets in accession countries pp. 129-146 Downloads
Tomas Dvorak and Richard Podpiera
On the duration of the financial system stability under liberalization pp. 147-161 Downloads
Brou Aka
Regulatory changes and market liquidity in Chinese stock markets pp. 162-175 Downloads
Lei Gao and Gerhard Kling
Did financial liberalization ease financing constraints? Evidence from Indian firm-level data pp. 176-190 Downloads
Saibal Ghosh

Volume 7, issue 1, 2006

The benefits and costs of group affiliation: Evidence from East Asia pp. 1-26 Downloads
Stijn Claessens, Joseph P.H. Fan and Larry Lang
Statistical properties of country credit ratings pp. 27-51 Downloads
Juan J. Cruces
An assessment of the case for monetary union or official dollarization in five Latin American countries pp. 52-66 Downloads
Paul Hallwood, Ian Marsh and Jörg Scheibe
Measuring the cost of equity in African financial markets pp. 67-81 Downloads
Daryl Collins and Mark Abrahamson
Have China's enterprise reforms led to improved efficiency and profitability? pp. 82-109 Downloads
Gongmeng Chen, Michael Firth and Oliver Rui

Volume 6, issue 4, 2005

Assessing risk in emerging markets pp. 309-310 Downloads
J. Estrada
An emerging market credit scoring system for corporate bonds pp. 311-323 Downloads
Edward Altman
Modelling country spillover effects in country risk ratings pp. 324-345 Downloads
Suhejla Hoti
Quantification of sovereign risk: Using the information in equity market prices pp. 346-362 Downloads
Naoto Oshiro and Yasufumi Saruwatari
Predicting financial crises in emerging markets using a composite non-parametric model pp. 363-375 Downloads
Thierry Apoteker and Sylvain Barthelemy
Designing an early warning system for debt crises pp. 376-395 Downloads
Alessio Ciarlone and Giorgio Trebeschi
An analysis of skewness and skewness persistence in three emerging markets pp. 396-418 Downloads
C.J. Adcock and K. Shutes

Volume 6, issue 3, 2005

Mutual fund preferences for Latin American equities surrounding financial crises pp. 211-237 Downloads
Susan Elkinawy
The success of stock selection strategies in emerging markets: Is it risk or behavioral bias? pp. 238-262 Downloads
Jaap van der Hart, Gerben de Zwart and Dick van Dijk
What makes firms manage FX risk? pp. 263-288 Downloads
Woochan Kim and Taeyoon Sung
Fear of floating and domestic liability dollarization pp. 289-307 Downloads
Adam Honig

Volume 6, issue 2, 2005

Risk and ex ante cost of equity estimates of emerging market firms pp. 107-120 Downloads
Dev Mishra and Thomas J. O'Brien
Empirical evidence on cross-listed stocks of Central and Eastern European companies pp. 121-137 Downloads
Piotr Korczak and Martin T. Bohl
Financing choices of firms in EU accession countries pp. 138-169 Downloads
Eugene Nivorozhkin
Stock market liberalization and volatility in the presence of favorable market characteristics and institutions pp. 170-191 Downloads
Shamila Jayasuriya
Competition and concentration in the banking sector of the South Eastern European region pp. 192-209 Downloads
Emmanuel Mamatzakis, C. Staikouras and N. Koutsomanoli-Fillipaki

Volume 6, issue 1, 2005

Country selection of emerging equity markets: benefits from country attribute diversification pp. 1-19 Downloads
Mohamed Kortas, Jean-Francois L'Her and Mathieu Roberge
Coexceedances in financial markets--a quantile regression analysis of contagion pp. 21-43 Downloads
Dirk Baur and Niels Schulze
Turnover and return in global stock markets pp. 45-67 Downloads
Malay K. Dey
Assessing institutional efficiency, growth and integration pp. 69-84 Downloads
Juan Pineiro Chousa, Haider Khan, Davit Melikyan and Artur Tamazian
Investment and the stock market: evidence from Arab firm-level panel data pp. 85-106 Downloads
Ali A. Bolbol and Mohammed Omran

Volume 5, issue 4, 2004

Macroeconomic factors and emerging market equity returns: a Bayesian model selection approach pp. 379-387 Downloads
Mark A. Hooker
An empirical examination of UK emerging market unit trust performance pp. 389-408 Downloads
Ernest Abel and Jonathan Fletcher
Corporate governance and dividend policy in emerging markets pp. 409-426 Downloads
Todd Mitton
The impact of the Argentine default on volatility co-movements in emerging bond markets pp. 427-446 Downloads
Giulio Cifarelli and Giovanna Paladino
Predicting default probabilities and implementing trading strategies for emerging markets bond portfolios pp. 447-469 Downloads
Andrea Berardi, Stefania Ciraolo and Michele Trova

Volume 5, issue 3, 2004

Housekeeping and plumbing: the investability of emerging markets pp. 267-294 Downloads
Jeppe Ladekarl and Sara Zervos
Testing for predictability in emerging equity markets pp. 295-316 Downloads
Eui Jung Chang, Eduardo Lima and Benjamin Tabak
Currency risk in emerging equity markets pp. 317-339 Downloads
Kate Phylaktis and Fabiola Ravazzolo
Financial liberalization, prudential supervision, and the onset of banking crises pp. 341-359 Downloads
Ilan Noy
Rating timing differences between the two leading agencies: Standard and Poor's and Moody's pp. 361-378 Downloads
Emawtee Bissoondoyal-Bheenick

Volume 5, issue 2, 2004

Risk and return characteristics of property indices in emerging markets pp. 131-159 Downloads
Christopher B. Barry and Mauricio Rodriguez
Comparing capital structures and rates of return in developed and emerging markets pp. 161-192 Downloads
Jack Glen and Ajit Singh
Dynamic investment strategies with and without emerging equity markets pp. 193-215 Downloads
Niclas Hagelin and Bengt Pramborg
Private benefits and cross-listings in the United States pp. 217-240 Downloads
Evangelos Benos and Michael Weisbach
The risk and predictability of equity returns of the EU accession countries pp. 241-266 Downloads
Tiago Mateus

Volume 5, issue 1, 2004

The development of mutual funds around the world pp. 1-38 Downloads
Leora Klapper, Victor Sulla and Dimitri Vittas
Consolidation and market structure in emerging market banking systems pp. 39-59 Downloads
R. Gaston Gelos and Jorge Roldos
International reserve-holding in the developing world: self insurance in a crisis-prone era? pp. 61-82 Downloads
Ronald Mendoza
ADRs as leading indicators of exchange rates pp. 83-107 Downloads
Padma Kadiyala and Prasad Kadiyala
Asymmetric risk measures when modelling emerging markets equities: evidence for regional and timing effects pp. 109-128 Downloads
Soosung Hwang and Christian S. Pedersen
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