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 54, issue C, 2023
- Analysis of the performance of Islamic gold-backed cryptocurrencies during the bear market of 2020

- Shaista Wasiuzzaman, Ayu Nadhirah Muhd Azwan and Aina Nazurah Hj Nordin
- The dark side of Bitcoin: Do Emerging Asian Islamic markets help subdue the ethical risk?

- Sitara Karim, Brian Lucey, Muhammad Abubakr Naeem and Samuel A. Vigne
- Risk substitution in cryptocurrencies: Evidence from BRICS announcements

- John W. Goodell, Ilan Alon, Laura Chiaramonte, Alberto Dreassi, Andrea Paltrinieri and Stefano Piserà
- Are business groups different from other family firms? Evidence from corporate investments during political uncertainty

- Kavita Wadhwa and Sudhakara Reddy Syamala
- Consumer credit in an emerging economy: Demand, supply, and liquidity restrictions

- Luis Arango Thomas and Lina Cardona-Sosa
- Profitability of politically corrupt firms: Evidence from Romania

- SeHyun Park
- Sectoral credit reallocation: An excessive bank risk-taking explanation

- Jorge Pozo
- Inflation and west African sectoral stock price indices: An asymmetric kernel method analysis

- Libaud Rudy Aurelien Doho, Sobom Matthieu Somé and Jean Michel Banto
- Salience theory and mutual fund flows: Empirical evidence from China

- Shiyang Hu, Cheng Xiang and Xiaofeng Quan
- Interpersonal versus interbank lending networks: The role of intermediation in risk-sharing

- Edina Berlinger, Márton Gosztonyi, Dániel Havran and Zoltán Pollák
- The COVID-19 pandemic and financial markets in Central Europe: Macroeconomic measures and international policy spillovers

- Wojciech Grabowski, Jakub Janus and Ewa Stawasz-Grabowska
- Turkey: From a thriving economic past towards a rugged future? - An empirical analysis on the Turkish financial markets

- Nikolaos Stoupos, Christos Nikas and Apostolos Kiohos
- What drives the growth of shadow banks? Evidence from emerging markets

- Dhulika Arora and Smita Kashiramka
- Credit risk in Islamic microfinance institutions: The role of women, groups, and rural borrowers

- Toka S. Mohamed and Mohammed Elgammal
- A machine learning approach for comparing the largest firm effect

- Jang Ho Kim, Jiwoon Han, Taehyeon Kang and Frank J. Fabozzi
- The evolution of consumption inequality and risk-insurance in Chile

- Carlos Madeira
- Capacity utilization shifting or resource-seeking? Benefits for Chinese enterprises participating in the belt and road initiative

- Guowei Cai, Xuejiao Zhang and Hao Yang
- The impact of proximity within elite corporate networks on the Shariah governance-firm performance nexus: Evidence from the global Shariah elite

- Seng Kiong Kok and Azar Shahgholian
- FinTech and the COVID-19 pandemic: Evidence from electronic payment systems

- Daniel Tut
- Political career concerns and bank lending in China

- Yunlin Tian, Xiaofei Pan, Baoqing Pang and Yiping Wu
- Credit gaps as banking crisis predictors: A different tune for middle- and low-income countries

- Vincent Bouvatier and Sofiane El Ouardi
- Spillovers and connectedness among BRICS stock markets, cryptocurrencies, and uncertainty: Evidence from the quantile vector autoregression network

- Rabeh Khalfaoui, Shawkat Hammoudeh and Mohd Ziaur Rehman
- Economic policy uncertainty, non-financial enterprises' shadow banking activities and stock price crash risk

- Xun Han, Sara Hsu, Jianjun Li and Ran An
- Margin trading and spillover effects: Evidence from the Chinese stock markets

- Shengjie Zhou and Qing Ye
Volume 53, issue C, 2022
- Monetary policy and wage inequality in South Africa

- Serena Merrino
- Other people's money: A comparison of institutional investors

- Veysel Eraslan, John Omole, Ahmet Sensoy and Melisa Ozdamar
- Does government transparency shape firm decentralization? Evidence from a natural experiment in China

- Ling Zhu and Dongmin Kong
- CEO facial masculinity, fraud, and ESG: Evidence from South Korea

- Kim, Y. Han (Andy), Junho Park and Hojong Shin
- Macroprudential policies, economic growth and banking crises

- Mohamed Belkhir, Sami Ben Naceur, Bertrand Candelon and Jean-Charles Wijnandts
- Information assimilation and stock return synchronicity: Evidence from an investor relations management platform

- Yunyu Cong, Fangfang Sun, Fusheng Wang and Qiang Ye
- How do emerging debt market participants recognize firm internationalization?Evidence from effects on credit ratings

- Wanli Li, Yin Lai, Chaohui Wang and Bowen Tan
- Strategic behavior of insiders in initial underpricing and long-run underperformance

- Baohua Yang, Yingluo Zhou and Zhong-Guo Zhou
- Female analysts and COVID-19 corporate donation

- Yang Wang, Yifei Zhang, Wei Kang and Ahmed Hassan Ahmed
- Bank liquidity and exposure to industry shocks: Evidence from Ukraine

- Jose Arias, Oleksandr Talavera and Andriy Tsapin
- Does a sustainability risk premium exist where it matters the most?

- Yann Ferrat, Frédéric Daty and Radu Burlacu
- Does corporate social responsibility benefit society? Evidence from Latin America

- Gregmar I. Galinato, Marie Hyland and Asif Islam
- Does financial liberalization reduce income inequality? Evidence from Africa

- Yawovi M.A. Koudalo and Ji Wu
- Greenium in the Chinese corporate bond market

- Xiaolu Hu, Angel Zhong and Youdan Cao
Volume 52, issue C, 2022
- Monetary policy surprises and interest rates under China's evolving monetary policy framework

- Liang Fu and Chun-Yu Ho
- The value of official business group affiliation: Evidence from a change in Korean chaebol designation policy

- Sangwon Lee
- Banking relationship and default priority in consumer credit: Evidence from Thai microdata

- Kanis Saengchote and Krislert Samphantharak
- Transmission of central bank communication to emerging economies: Evidence from the Korean stock market

- Hyeonung Jang and Byoung Ki Seo
- Factor investing in Brazil: Diversifying across factor tilts and allocation strategies

- Alexandre Alles Rodrigues and Fabrizio Casalin
- Does the nature of political connection matter for corporate social responsibility engagement? Evidence from China

- Vinh Q.T. Dang, Isaac Otchere and Erin P.K. So
- How does economic policy uncertainty affect cross-border M&A: Evidence from Chinese firms

- Wanli Li, Yueying Su and Kaixiu Wang
- Are green bonds priced lower than their conventional peers?

- Yue Wu
- Macroprudential policy efficiency in Russia: Assessment for the uncollateralized consumer loans

- Irina Kozlovtceva, Henry Penikas, Ekaterina Petreneva and Yulia Ushakova
- Interconnectedness between convertible bonds and underlying stocks in the Chinese capital market: A multilayer network perspective

- Yu-Xiu Ling, Chi Xie and Gang-Jin Wang
- Measuring credit procyclicality: A new database

- Vincent Bouvatier, Anne-Laure Delatte and Pierre-Nicolas Rehault
- Effects of monetary policy news on financial assets: Evidence from Brazil on a bivariate VAR-GARCH model (2006–17)

- Tarciso Gouveia da Silva, Osmani Guillén, George Augusto Noronha Morcerf and Andre de Melo Modenesi
- Beyond religion and culture: The economic consequences of the institutionalization of sharia law

- Gabriele Lattanzio
- Risk spillover of banking across regions: Evidence from the belt and road countries

- Hong Zhao, Jiayi Li, Yiqing Lei and Mingming Zhou
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