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Emerging Markets Review2000 - 2025
 Current editor(s): Jonathan A. Batten From ElsevierBibliographic data for series maintained by Catherine Liu ().
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 Volume 51, issue PB, 2022
 
  Do firms manipulate earnings after winning public-private partnership bids? Evidence from China   Muhammad Ansar Majeed, Chao Yan and Huijie ZhongWhat drives portfolio capital inflows into emerging market economies? The role of the Fed's and ECB's balance sheet policies   Michał Ledóchowski and Piotr ŻukDoes the green loan policy boost greener production? – Evidence from Chinese firms   Dongyang ZhangCorporate governance and investment sensitivity to policy uncertainty in Brazil   Daniel Ferreira CaixeBank board network and financial stability in emerging markets   Shreya Biswas and Rajnish KumarEvidence of arbitrage trading activity: The case of Chinese metal futures contracts   Yang Li and Robert BrooksPolitical capital and physical capital: Substitute or complement? Evidence from China's anti-corruption campaign   Lei ChengPublic participation, investment networks, and China's outward FDI: Evidence from 58 countries along the belt and road   Dongkun Li, Xiaohong Chen and Paul WohlfarthInstitutional determinants of emerging market returns and flows   Ralph Sonenshine and Bradley O. EricksonSanctions against Iran, political connections and speed of adjustment   Abbas Aflatooni, Kaveh Ghaderi and Kefsan MansouriSystemic risk, Islamic banks, and the COVID-19 pandemic: An empirical investigation   Muhammad Suhail Rizwan, Ghufran Ahmad and Dawood AshrafMachine learning portfolios with equal risk contributions: Evidence from the Brazilian market   Alexandre RubesamGeographic proximity and M&As: Evidence from China   Chao Li, Han Li and Zhao ZhaoPrice limits, investor sentiment, and initial public offering underpricing: A quasi-natural experiment based on ChiNext   Yan Dong and Jun HuangDependence dynamics of stock markets during COVID-19   Mobeen Ur Rehman, Nasir Ahmad, Syed Jawad Hussain Shahzad and Xuan Vinh Vo Volume 51, issue PA, 2022
 
  Fintech development and savings, borrowing, and remittances: A comparative study of emerging economies   Angela C. Lyons, Josephine Kass-Hanna and Ana FavaAnti-corruption campaign and corporate cash holdings: Evidence from China   Weixing Cai, Feng Hu, Fangming Xu and Liyi ZhengDoes societal trust affect corporate capital structure?   Yogesh Chauhan, Manju Jaiswall and Vinay GoyalBuilding financial resilience through financial and digital literacy in South Asia and Sub-Saharan Africa   Josephine Kass-Hanna, Angela C. Lyons and Fan LiuInsider trading and information asymmetry: Evidence from the Korea Exchange   Doojin Ryu, Heejin Yang and Jinyoung YuExchange rate exposure for exporting and domestic firms in central and Eastern Europe   Raheel Asif and Michael FrömmelTesting technical trading strategies on China's equity ETFs: A skewness perspective   Xiaoye JinDoes political turnover affect corporate investment? Evidence from China   Yanyan ChenPolitical favoritism towards resource allocation: Evidence of grants by natural science foundation in China   Zihua Liu and Sili ZhouAir pollution, political costs, and earnings management   Mian Yang and Wenliang TangResidual state ownership, foreign ownership and firms' financing patterns   Yu Liu and Jian XuSpillovers of U.S. monetary policy uncertainty on inflation targeting emerging economies   Nahiyan Faisal Azad and Apostolos SerletisHow does financial inclusion affect bank stability in emerging economies?   Rui Wang and Luo, Hang (Robin)Early warning system for risk of external liquidity shock in BRICS countries   Hui An, Hao Wang, Sarath Delpachitra, Simon Cottrell and Xiao YuWomen to women: Enabling innovation and firm performance in developing countries   Muhammad Masood Azeem, Alison Sheridan and Sujana Adapa Volume 50, issue C, 2022
 
  Outside directors, firm life cycle, corporate financial decisions and firm performance   Jubran Alqahtani, Lien Duong, Grantley Taylor and Baban EulaiwiDoes air pollution influence investor trading behavior? Evidence from China   Mengmeng Guo, Mengxin Wei and Lin HuangInstitutional conditions, economic policy uncertainty and foreign institutional investment in China   Lerong He, Liying Huang and Liting FangSocial progress, business formation, and access to investment capital   Thomas J. BoultonLow liquidity beta anomaly in China   Michael Frömmel, Xing Han, Youwei Li and Samuel A. VigneDual liability and the moderating effect of corporate social responsibility–Evidence from Belt&Road investment of Chinese firms   Lulu Gu, Guohua Yang and Rui ZuoDiversification and financialization of non-financial corporations: Evidence from China   Yumei Feng, Shouyu Yao, Chunfeng Wang, Jing Liao and Feiyang ChengEnvironmental regulations and innovation for sustainability? Moderating effect of political connections   Bao Wu, Hanqing Fang, Gady Jacoby, Geling Li and Zhenyu WuIdentifying systemically important financial institutions in complex network: A case study of Chinese stock market   Wei Chen, Xiaoli Hou, Manrui Jiang and Cheng JiangThe process of female borrower discouragement   Vanessa Naegels, Neema Mori and Bert D'EspallierDo financial constraints in an unstable emerging economy mitigate the opportunistic behavior of entrenched family owners?   Luiz Ricardo Kabbach-de-Castro, Aquiles Elie Guimarães Kalatzis and Aline Damasceno PellicaniHow fiscal rules can reduce sovereign debt default risk   Jose Gomez-Gonzalez, Oscar Valencia and Gustavo A. SánchezDividend policy and religion: International evidence from firms with Islamic Label   Hamdi Ben-Nasr and Hatem H. GhoumaDoes share pledging affect firms' use of derivatives? Evidence from China   Haomin Shen, Xiaoke Cheng, Caiyue Ouyang, Ya Li and Kam C. ChanEndogenous market development for government securities in lower-income economies   Tadashi Endo Volume 49, issue C, 2021
 
  Dynamic linkage between the Chinese and global stock markets: A normal mixture approach   Li Wan, Liyan Han, Yang Xu and Roman MatousekWhere are the fundamental traders? A model application based on the Shanghai Stock Exchange   Yun Pu and Carl ZulaufThe value of independent directors: Evidence from China   Yihan Wu and Bin DongMixed ownership and firm performance: Evidence from the Chinese venture capital industry   Bin Ke and Lanfang WangGovernment subsidies and firm performance: Evidence from high-tech start-ups in China   Xingwu Luo, Feifei Huang, Xiaobo Tang and Jialong LiThe effect of stimulus policy on lending behavior and bank risk: Evidence from the Chinese banking sector   Yan Dong and Cong WangThe effect of corporate philanthropy on corporate performance of Chinese family firms: The moderating role of religious atmosphere   Xinlan Li, Changhong Li, Zhan Wang, Wenting Jiao and Yiwen PangMilitary executives and corporate outcomes: Evidence from China   Lin Lin, Nhut Hoang Nguyen, Martin Young and Liping ZouUnintended investor sentiment on bank financial products: Evidence from China   Rongda Chen, Ling Wu, Chenglu Jin and Shengnan WangPath dependence and resource availability: Process of innovation activities in Chinese family and non-family firms   Li Li Eng, Hanqing Fang, Xi Tian and T. Robert YuNews media and insider trading profitability: An emerging country perspective   Fangcheng Sun, Shantanu Dutta, Hui Huang and Pengcheng ZhuPolitical uncertainty and city bank lending in China: Evidence from city government official changes   Maoyong Cheng, Pin Guo, Justin Yiqiang Jin and Hongyan GengThe gambling preference and stock price: Evidence from China's stock market   Hong-bing Zhu, Bing Zhang and Li-hua YangAnti-corruption intensity and loan contracting: Evidence from non-state owned firms in China   Guangzi Li and Kam C. ChanRetail attention, retail trades, and stock price crash risk   Feiyang Cheng, Chunfeng Wang, Chaoshin Chiao, Shouyu Yao and Zhenming Fang |  |