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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 4, issue 4, 2003

A Brief Note from the Editors pp. 329-329 Downloads
Javier Estrada and Cam Harvey
Debt composition and balance sheet effects of currency depreciation: a summary of the micro evidence pp. 330-339 Downloads
Arturo Galindo, Ugo Panizza and Fabio Schiantarelli
Financial dollarization and debt deflation under a currency board pp. 340-367 Downloads
Sebastian Galiani, Eduardo Levy Yeyati and Ernesto Schargrodsky
Debt composition and exchange rate balance sheet effect in Brazil: a firm level analysis pp. 368-396 Downloads
Marco Bonomo, Betina Martins and Rodrigo Pinto
Debt composition and balance sheet effects of exchange rate depreciations: a firm-level analysis for Chile pp. 397-416 Downloads
Jose Miguel Benavente, Christian Johnson and Felipe Morandé
'Dollar' debt in Colombian firms: are sinners punished during devaluations? pp. 417-449 Downloads
Juan Echeverry, Leopoldo Fergusson, Roberto Steiner and Camila Aguilar
Debt composition and balance sheet effects of exchange rate volatility in Mexico: a firm level analysis pp. 450-471 Downloads
Sangeeta Pratap, Ignacio Lobato and Alejandro Somuano
Exchange rate volatility and economic performance in Peru: a firm level analysis pp. 472-496 Downloads
Luis Carranza, Juan M. Cayo and Jose Galdon-Sanchez

Volume 4, issue 3, 2003

Returns on ADRs and arbitrage in emerging markets pp. 225-247 Downloads
Ramon Rabinovitch, Ana Cristina Silva and Raul Susmel
What drives financial crises in emerging markets? pp. 248-272 Downloads
Tuomas Komulainen and Johanna Lukkarila
Intra-industry trade of transition countries: trends and determinants pp. 273-286 Downloads
Yener Kandogan
Political conditions and currency crises in emerging markets pp. 287-309 Downloads
Steven Block
Mexican peso crisis and its spillover effects to emerging market debt pp. 310-326 Downloads
Ki C. Han, Suk Hun Lee and David Y. Suk
Corrigendum to: "Official bailout, moral hazard and the 'speciality' of the international interbank market": [Emerging Markets Review 4 (2003) 165-196] pp. 328-328 Downloads
Francesco Spadafora

Volume 4, issue 2, 2003

Mexico's integration into the North American capital market pp. 91-120 Downloads
Michael Adler and Rong Qi
The equity risk premium: emerging vs. developed markets pp. 121-144 Downloads
Roelof Salomons and Henk Grootveld
Understanding reserve volatility in emerging markets: a look at the long-run pp. 145-164 Downloads
Ricarda Demarmels and Andreas Fischer
Official bailouts, moral hazard and the 'speciality' of the international interbank market pp. 165-196 Downloads
Francesco Spadafora
Financial densities in emerging markets: an application of the multivariate ES density pp. 197-223 Downloads
Ignacio Mauleón

Volume 4, issue 1, 2003

Liquidity and stock returns in emerging equity markets pp. 1-24 Downloads
Sang-Gyung Jun, Achla Marathe and Hany A. Shawky
Leaders and followers: emerging market fund behavior during tranquil and turbulent times pp. 25-38 Downloads
Eduardo R. Borensztein and R. Gaston Gelos
Firm-level access to international capital markets: evidence from Chilean equities pp. 39-51 Downloads
Sara B. Holland and Francis Warnock
The Internet and the ability to innovate in Latin America pp. 53-72 Downloads
Alberto Chong and Alejandro Micco
An evaluation of MLPM allocation rules on emerging markets portfolios pp. 73-90 Downloads
Pantisa Pavabutr

Volume 3, issue 4, 2002

Introduction to 'Valuation in Emerging Markets' pp. 310-324 Downloads
Robert F. Bruner, Robert M. Conroy, Javier Estrada, Mark Kritzman and Wei Li
Measuring transparency and disclosure at firm-level in emerging markets pp. 325-337 Downloads
Sandeep A. Patel, Amra Balic and Liliane Bwakira
The persistence of emerging market equity flows pp. 338-364 Downloads
Kenneth Froot and Jessica Tjornhom Donohue
Systematic risk in emerging markets: the pp. 365-379 Downloads
Javier Estrada
Emerging market bond spreads and sovereign credit ratings: reconciling market views with economic fundamentals pp. 380-408 Downloads
Amadou Sy
Devaluations and emerging stock market returns pp. 409-428 Downloads
Jack Glen
Research in emerging markets finance: looking to the future pp. 429-448 Downloads
Geert Bekaert and Campbell Harvey

Volume 3, issue 3, 2002

The effects of stock market development on growth and private investment in lower-income countries pp. 211-232 Downloads
J. Benson Durham
Value investing in emerging markets: risks and benefits pp. 233-244 Downloads
Vladislav Kargin
Assessing the effects of corruption and crime on firm performance: evidence from Latin America pp. 245-268 Downloads
Alejandro Gaviria
Economic integration without policy coordination: the case of Mercosur pp. 269-291 Downloads
Werner Baer, Tiago Cavalcanti and Peri Silva
Market structure, liquidity, and information based trading at the Prague Stock Exchange pp. 293-305 Downloads
Libor Nemecek and Jan Hanousek

Volume 3, issue 2, 2002

Leading indicators of currency crises for emerging countries pp. 107-133 Downloads
Oliver Burkart and Virginie Coudert
The long-term performance of privatization-related ADR issues pp. 135-164 Downloads
C. Bulent Aybar
An empirical analysis of the determinants of the P/E ratio in emerging markets pp. 165-178 Downloads
Harri Ramcharran
Further evidence on Asian stock return behavior pp. 179-193 Downloads
Caspar G. M. de Groot and Willem Verschoor
Credit crunch and shocks to firms: Korean experience under the Asian financial crisis pp. 195-210 Downloads
Dong Won Kim, Young Soo Lee and Kyung Suh Park

Volume 3, issue 1, 2002

Robustness of size and value effects in emerging equity markets, 1985-2000 pp. 1-30 Downloads
Christopher B. Barry, Elizabeth Goldreyer, Larry Lockwood and Mauricio Rodriguez
Predicting bank failures using a hazard model: the Venezuelan banking crisis pp. 31-50 Downloads
Carlos Molina Manzano
A resource perspective on internationalization responses to market liberalization pp. 51-68 Downloads
Omar N. Toulan
International portfolio diversification: US and Central European equity markets pp. 69-83 Downloads
Claire G. Gilmore and Ginette M. McManus
Economic determinants of emerging stock market interdependence pp. 84-105 Downloads
Elna Pretorius

Volume 2, issue 4, 2001

Predicting returns and changes in real activity: evidence from emerging economies pp. 309-329 Downloads
Jesper Rangvid
The valuation of closely-held companies in Latin America pp. 330-370 Downloads
Luis Pereiro
Foreign investment, regulation and price volatility in South-east Asian stock markets pp. 371-386 Downloads
Phil Holmes and Marie Wong
Intra-day seasonalities on stock returns: evidence from the Turkish Stock Market pp. 387-417 Downloads
Recep Bildik
The real exchange rate and the output response in four EU accession countries pp. 418-430 Downloads
Terence C. Mills and Eric Pentecost

Volume 2, issue 3, 2001

Country risk, country risk indices and valuation of FDI: a real options approach pp. 197-217 Downloads
Kjell Bjørn Nordal
How to reduce inflation: an independent central bank or a currency board? The experience of the Baltic countries pp. 218-243 Downloads
Jakob de Haan, Helge Berger and Erik van Fraassen
Monetary policy and the yield curve in an emerging market: the Greek case pp. 244-262 Downloads
Konstantinos Drakos
Does the inflation rate affect the performance of the stock market? The case of Egypt pp. 263-279 Downloads
Mohammed Omran and John Pointon
Structural change and the bid-ask spread: evidence from the Johannesburg Stock Exchange (JSE) pp. 280-291 Downloads
Franklin A. Michello
Efficiency, scale and scope economies in the Ukrainian banking sector in 1998 pp. 292-308 Downloads
Alexander Mertens and Giovanni Urga

Volume 2, issue 2, 2001

The corporate governance behavior and market value of Russian firms pp. 89-108 Downloads
Bernard Black
Privatisation: politics, institutions, and financial markets pp. 109-137 Downloads
Bernardo Bortolotti, Marcella Fantini and Domenico Siniscalco
State of corruption in transition: case of the Czech Republic pp. 138-160 Downloads
Lubomir Lizal and Evžen Kočenda
Poland: a successful transition to budget sustainability? pp. 161-183 Downloads
Christopher Green, Mark Holmes and Tadeusz Kowalski
Demand uncertainty and the capital-labour ratio in Poland pp. 184-197 Downloads
Christopher Green, Robert Lensink and Victor Murinde

Volume 2, issue 1, 2001

The development of the GKO futures market in Russia pp. 1-16 Downloads
Anatoly Peresetsky, G. Turmuhambetova and Giovanni Urga
The profitability of moving average trading rules in South Asian stock markets pp. 17-33 Downloads
Abeyratna Gunasekarage and David M. Power
Is foreign direct investment a safer form of financing? pp. 34-49 Downloads
Eduardo Fernandez-Arias and Ricardo Hausmann
Emerging markets, downside risk and the asset allocation decision pp. 50-66 Downloads
Simon Stevenson
The economic factors behind international legal harmonization: a jurimetric analysis of the Latin American experience pp. 67-85 Downloads
Edgardo Buscaglia
Corrigendum to ''Before the fall: were East Asian currencies overvalued?'': [Emerging Markets Review 1 (2000) 101-126] pp. 87-87 Downloads
Menzie Chinn
Page updated 2025-03-31