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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 (). Access Statistics for this journal.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
Volume 58, issue C, 2024
- Liquidity risk in FinTech lending: Early impact of the COVID-19 pandemic on the P2P lending market

- Asror Nigmonov, Syed Shams and Khorshed Alam
- Identifying the external and internal drivers of exchange rate volatility in small open economies

- Uluc Aysun
- Farm location and occupational choices in Sub-Saharan Africa: Implications for agricultural households in Tanzania

- Japhet Zephyr Mtaturu
- Finance dependence and exchange rate pass-through: Empirical evidence from China

- Chenghao Hu
- Global supply chain inflationary pressures and monetary policy in Mexico

- Juan Hernandez, Daniel Ventosa-Santaulària and J. Eduardo Valencia
- Exploring the relationship between China's economic policy uncertainty and business cycles: Exogenous impulse or endogenous responses?

- Li Yujia, Zhu Zixiang and Che Ming
- The effect of expanded audit report on IPO underpricing: Evidence from China

- Mengmeng Guo, Yun Su and Rui Zhao
Volume 57, issue C, 2023
- Finance and export diversifications Nexus in Russian regions: Role of trade globalization and regional potential

- Mohammed Shakib, Kazi Sohag, M. Kabir Hassan and Rogneda Vasilyeva
- Optimizing systemic risk through credit network reconstruction

- Wang Chao, Ma Jing and Liu Xiaoxing
- Nonperforming loans and related lending: Evidence from Ukraine

- Iegor Vyshnevskyi and Wook Sohn
- The Nexus among board diversity and bank stability: Implications from gender, nationality and education

- Marwa Elnahass, Rana Alharbi, Toka S. Mohamed and Josie McLaren
- Global value chains in sub-Saharan Africa: The role of business regulations, policies and institutions

- Shawkat Hammoudeh, Aviral Tiwari, Emmanuel Abakah and David Adeabah
- Financial crisis, global liquidity and trade credit channel: Evidence from Türkiye

- Can Kadırgan and Pınar Özbay Özlü
- Your skin or mine: Ensuring the viability of a central counterparty

- Melinda Friesz and Kata Váradi
- How does privatization affect cash dividends? Quasi-experimental evidence from China

- Jinshuai Hu, Haiyan Jiang and Yibing Wu
- One novel mixed ownership reform and green innovation in private firms: Evidence from China

- Jingchang Xu, Huixuan Zhang and Wuqing Wu
Volume 56, issue C, 2023
- Financial statement fraud, recidivism and punishment

- Yang Wang, John K. Ashton and Aziz Jaafar
- Emerging equity markets in a globalized world

- Geert Bekaert, Campbell R. Harvey and Tomas Mondino
- Can digital finance development improve balanced regional investment allocations in developing countries? — The evidence from China

- Minghua Zhan, Shuai Li and Zhouheng Wu
- Central bank swap arrangements and exchange rate volatility: Evidence from China

- Ziliang Yu, Xiaomeng Liu, Zhuqing Liu and Yang Li
- Corporate digital transformation and idiosyncratic risk: Based on corporate governance perspective

- Heshu Huang, Caiting Wang, Liukai Wang and Larisa Yarovaya
- Stock liquidity and investment efficiency: Evidence from the split-share structure reform in China

- William Ming Yan Cheung, Hyun Joong Im and Srinivasan Selvam
- Does high-speed rail affect the agglomeration of banks in China?

- Yan Dong, Jun Huang and Ji Wu
- Greenhouse gas emissions, firm value, and the investor base: Evidence from Korea

- Hope H. Han, Jiyoon Lee and Boxian Wang
- Dynamic connectedness between global commodity sectors, news sentiment, and sub-Saharan African equities

- Samuel Kwaku Agyei, Zaghum Umar, Ahmed Bossman and Tamara Teplova
- Competition law reform and firm performance: Evidence from developing countries

- Incheol Kim, Suin Lee and Bina Sharma
- When financial advice rocks the market

- Conrado Cuevas and Dan Bernhardt
- A financial risk meter for China

- Ruting Wang, Michael Althof and Wolfgang Karl Härdle
- Energy firms in emerging markets: Systemic risk and diversification opportunities

- Helena Chuliá, Jorge A. Muñoz-Mendoza and Jorge Uribe
- Multivariate dynamics between emerging markets and digital asset markets: An application of the SNP-DCC model

- Inés Jiménez, Andrés Mora-Valencia and Javier Perote
- Impacts of COVID-19 pandemic on corporate cash holdings: Evidence from Korea

- Hae Jin Chung, Hogyu Jhang and Doojin Ryu
- CEO social power, board inclusiveness, and corporate performance after ethnic conflicts

- Kamil K. Nazliben, Luc Renneboog and Emil Uduwalage
- Corporate governance of weak stakeholders: Minority investors and investment efficiency

- Yumei Feng, Yuying Pan, Kung-Cheng Ho and Guanchun Liu
- Effect of accounting information manipulation on innovation: Evidence from China

- Shuying Ning and Zhiyang Lin
Volume 55, issue C, 2023
- Global commodity and equity markets spillovers to Africa during the COVID-19 pandemic

- Christian Urom, Gideon Ndubuisi, Gaye Del Lo and Denis Yuni
- Determinants of connectedness in financial institutions: Evidence from Taiwan

- Yi-Pei Chen, Yu-Lun Chen, Shu-Hen Chiang and Wan-Shin Mo
- The spillover effects of China's monetary policy shock: Evidence from B&R countries

- Yong Chen, Dingming Liu and Ziguan Zhuang
- Environmental practices, family control, and corporate performance: Evidence from Chinese family firms

- Xinlan Li, Changhong Li and Xiaoli Guo
- The intention to use cryptocurrency: A meta-analysis of what we know

- William H. Bommer, Emil Milevoj and Shailesh Rana
- Bank risk-taking and competition in developing banking markets: Does efficiency level matter? Evidence from Africa

- Luc Matabaro Borauzima and Aline Muller
- Does bank efficiency affect the bank lending channel in China?

- Zuzana Fungáčová, Eeva Kerola and Laurent Weill
- CEO turnover, political connections, and firm performance: Evidence from China

- Xiaoyan Liu, Rui Zhao and Mengmeng Guo
- Conditional dependence structure and risk spillovers between Bitcoin and fiat currencies

- Mobeen Ur Rehman, Paraskevi Katsiampa, Rami Zeitun and Xuan Vinh Vo
- How to reduce the default contagion risk of intercorporate credit guarantee networks? Evidence from China

- Jiamin Lv, Shenglin Ben, Wenli Huang and Yueling Xu
- Cash holdings of minority family businesses in Indonesia

- Heyvon Herdhayinta, James Lau and Carl Hsin-han Shen
- Bank branching deregulation and the credit risk of the regional banking sector: Evidence from city commercial banks in China

- Chaochao Wang, Yan Dong and Ran Ge
- Ultimate government control and stock price crash risk: Evidence from China

- Lingxia Sun
- Tail-event driven NETwork dependence in emerging markets

- Muhammad Abubakr Naeem, Imran Yousaf, Sitara Karim, Larisa Yarovaya and Shoaib Ali
- Threshold effects, technology purchasing, and firm outcomes: An absorptive capacity perspective

- Zhongjuan Sun, Zhu Yu, Cizhi Wang and Hanqing Fang
- Household indebtedness, financial frictions and the transmission of monetary policy to consumption: Evidence from China

- Michael Funke, Xiang Li and Doudou Zhong
- The impact of institutional investors' corporate site visits on corporate social responsibility

- Huan Liu and Canran Hou
- Impact of cultural trade on foreign direct investment: Evidence from China

- Chang Li, Chu Wang, Lianxing Yang and Baoju Chu
- Effect of climate-related risk on the costs of bank loans: Evidence from syndicated loan markets in emerging economies

- Kelvin Ho and Andrew Wong
- Origin matters: Institutional imprinting and family firm innovation in China

- Chen Cheng, Wanrong Li, Guanchun Liu and Yuanyuan Liu
- Banking market power and its determinants: New insights from MENA countries

- Mohamed Chaffai and Paolo Coccorese
- Number of creditors and the real effects of credit supply disruptions

- Sajad Ebrahimi, Ali Ebrahimnejad and Mahdi Rastad
- The effect of fraud experience on investment behavior

- Gady Jacoby, Chi Liao, Xiaomeng Lu and Fang Wan
- Does managerial networking impinge our morality in Guanxi context? The moderating effect of corruption perception

- Bao Wu, Chevy-Hanqing Fang, Qi Wang and Qiongxian Huang
- The evolution of financial reporting quality for companies listed on the Tadawul Stock Exchange in Saudi Arabia: New emerging markets' evidence

- Waleed Alsuhaibani, Robert Houmes and Daphne Wang
- Leverage made at home: Investors' margin loan usage and firm leverage

- Chunbo Liu and Zilong Niu
- Predictability of risk appetite in Turkey: Local versus global factors

- Eray Gemici, Remzi Gök and Elie Bouri
- Time and frequency connectedness of uncertainties in cryptocurrency, stock, currency, energy, and precious metals markets

- Efe Cagli and Pinar Evrim Mandaci
- Systemic risk spillovers and the determinants in the stock markets of the Belt and Road countries

- Yusen Feng, Gang-Jin Wang, You Zhu and Chi Xie
- The moderating role of a corporate life cycle with the impact of economic value-added on corporate social responsibility: Evidence from China's listed companies

- Xiaojuan Wu, Dana Dluhošová and Zdeněk Zmeškal
- Machine learning and the cross-section of emerging market stock returns

- Matthias X. Hanauer and Tobias Kalsbach
- Currency risk and the dynamics of German investors entry and exit in Russia

- Ivan Deseatnicov and Olga Klochko
- Economic policy uncertainty, bank deposits, and liability structure

- Wei Deng, Lei Gao, Fei Xing and Ming Yang
- Stock liquidity during COVID-19 crisis: A cross-country analysis of developed and emerging economies, and economic policy uncertainty

- Omar Al Farooque, Ghasan Baghdadi, Hai Hong Trinh and Sarod Khandaker
- Trade reform, infrastructure investment, and structural transformation in Africa: Evidence from Guinea-Bissau

- Semertesides Bitica Fereira and Júlio Vicente Cateia
- Banks' leverage in foreign exchange derivatives in times of crisis: A tale of two countries

- Carlos Giraldo, Iader Giraldo, Jose Gomez-Gonzalez and Jorge Uribe
- Board generational diversity in emerging markets

- Ichiro Iwasaki, Xinxin Ma and Satoshi Mizobata
- How far have we come and where should we go after 30+ years of research on Africa's emerging financial markets? A systematic review and a bibliometric network analysis

- David Adeabah, Emmanuel Abakah, Aviral Tiwari and Shawkat Hammoudeh
- Can corporate financing through the stock market create systemic risk? Evidence from the BRVM securities market

- Désiré Kanga, Issouf Soumaré and Edoh Amenounvé
- Public bank lending in Africa in times of crisis

- Florian Leon
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