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 44, issue C, 2020
- Decomposing the value premium: The role of intangible information in the Chinese stock market

- Kin-Yip Ho and Jiyoun An
- Selective pump-and-dump: The manipulation of their top holdings by Chinese mutual funds around quarter-ends

- Liangyi Ouyang and Bolong Cao
- Credit risk and bank competition in Sub-Saharan Africa

- Michael Brei, Luc Jacolin and Alphonse Noah
- More shareholders, higher liquidity? Evidence from an emerging stock market

- Yee-Ee Chia, Kian-Ping Lim and Kim-Leng Goh
- Disclosure for whom? Government involvement, CSR disclosure and firm value

- Shen Xu, Xia Chen, Antai Li and Xinping Xia
- Company visits and stock price crash risk: Evidence from China

- Jun Yang, Jing Lu and Cheng Xiang
- State ownership and corporate innovative efficiency

- Xiaping Cao, Douglas Cumming and Sili Zhou
- The role of China's aid and ODI in the economic growth of African countries

- Yan Dong and Cijun Fan
- Which firms do prefer Islamic debt? An analysis and evidence from global sukuk and bonds issuing firms

- Md Hamid Uddin, Sarkar Humayun Kabir, Mohammed Sawkat Hossain, Nor Shaipah Abdul Wahab and Jia Liu
- Measuring China's monetary policy uncertainty and its impact on the real economy

- Li Li, Yao Tang and Jingjie Xiang
- Is organizational slack honey or poison? Experimental research based on external investors' perception

- Xialei You, Shenghua Jia, Junsheng Dou and Emma Su
- Corporate cash holdings and promoter ownership

- C.P. Gupta and Prateek Bedi
- The value of family control during political uncertainty: Evidence from Thailand's constitutional change in 201411We are grateful for helpful comments and suggestions provided by Shu-Ching Chou, Woochan Kim, Nicolas Eugster, Yu-Shan Wei and participants at the 32nd Australasian Finance and Banking Conference (AFBC) as well as seminar participants at University of Wollongong. We are equally greatful to the two referees whose comments have improved the quality of the paper. All remaining errors are our sole responsibility

- Tanapond Swanpitak, Xiaofei Pan and Sandy Suardi
- In search for good news: The relationship between accounting information, bounded rationality and hard-to-value stocks

- Bruno Figlioli, Sirlei Lemes and Fabiano Guasti Lima
Volume 43, issue C, 2020
- Arbitrage risk and the cross-section of stock returns: Evidence from China

- Yu En Lin, Chien Chi Chu, Akihiro Omura, Bin Li and Eduardo Roca
- SME lending and banking system stability: Some mechanisms at work

- Michael Brei, Blaise Gadanecz and Aaron Mehrotra
- Linear and nonlinear growth determinants: The case of Mongolia and its connection to China

- Amanda M.Y. Chu, Zhihui Lv, Niklas Wagner and Wing-Keung Wong
- Firm boundaries, incentives, and fund performance: Evidence from a private pension fund system

- Umut Gökçen, S. Mehmet Özsoy and Atakan Yalçın
- Corporate social responsibility disclosure in China: Do managerial professional connections and social attention matter?

- Jinbo Luo and Qigui Liu
- What causes Chinese listed firms to switch bank loan provider? Evidence from a survival analysis

- Jiayi Huang, Kent Matthews and Peng Zhou
- Financing patterns in transition economies: Privatized former SOEs versus ab initio private firms

- Yu Liu, Nilesh Sah, Barkat Ullah and Zuobao Wei
- Intraday-of-the-week effects: What do the exchange rate data tell us?

- Siroos Khademalomoom and Paresh Kumar Narayan
- What is the best proxy for liquidity in the presence of extreme illiquidity?

- Barbara Będowska-Sójka and Krzysztof Echaust
- Measuring households' financial vulnerabilities from consumer debt: Evidence from Chile

- Rodrigo Cifuentes, Paula Margaretic and Trinidad Saavedra
- Insider trading laws and price informativeness in emerging stock markets: The South African case

- Kalu Ojah, Stella Muhanji and Odongo Kodongo
- Central banks' supervisory guidance on corporate governance and bank stability: Evidence from African countries

- Samuel Mutarindwa, Dorothea Schäfer and Andreas Stephan
- International comparison of household asset allocation: Micro-evidence from cross-country comparisons

- Xiaomeng Lu, Jiaojiao Guo and Li Gan
- Individual investors' propensity to speculate and A-share premiums in China's A-shares and H-shares

- Jun Chen, Gaoliang Tian and Fan Yang
- Evaluating the risk factors influencing foreign direct investment in Mongolia's mining sector: A complex network approach

- Ruicheng Yang, Weize Xing and Shuxia Hou
Volume 42, issue C, 2020
- Does societal trust make firms more trustworthy?

- Kung-Cheng Ho, Huang-Ping Yen, Yan Gu and Lisi Shi
- Revisiting the impact of institutional quality on post-GFC bank risk-taking: Evidence from emerging countries

- Ajim Uddin, Mohammad Ashraful Chowdhury, Sanjay Deb Sajib and Abul Masih
- Leveraging local knowledge or global advantage: Cross border bank mergers and acquisitions in Africa

- Dieter Vanwalleghem, Canan Yildirim and Anthony Mukanya
- Testing factor models in Indonesia

- James Foye and Aljoša Valentinčič
- Is there an illiquidity premium in frontier markets?

- Szymon Stereńczak, Adam Zaremba and Zaghum Umar
- Currency collapses and output dynamics in commodity dependent countries

- Vincent Bodart and Jean-François Carpantier
- Institutional investors, selling pressure and crash risk: Evidence from China

- Yunqi Fan and Hui Fu
- Predicting exchange rate returns

- Paresh Narayan, Susan Sunila Sharma, Dinh Phan and Guangqiang Liu
- Do different types of political connections affect corporate investments? Evidence from Malaysia

- Dinh Phan, Chwee Ming Tee and Vuong Thao Tran
- Does going public imply short-termism in investment behavior? Evidence from China

- Zhuangxiong Yu, Jie Zhang and Jie Li
- Controlling shareholder share pledging and firm cash dividends

- Wanli Li, Jingting Zhou, Ziqiao Yan and He Zhang
- China: From imitator to innovator?

- Feng Zhan, Juliane Proelss and Denis Schweizer
Volume 41, issue C, 2019
- The optimal derivative-based corporate hedging strategies under equity-linked managerial compensation

- Sagi Akron
- Government subsidies and corporate investment efficiency: Evidence from China

- Jinshuai Hu, Haiyan Jiang and Mark Holmes
- Belt and road initiative and Chinese firms' outward foreign direct investment

- Shu Yu, Xingwang Qian and Taoxiong Liu
- Liability driven investment with alternative assets: Evidence from Brazil

- Márcio R. Bernardo and Carlos Heitor Campani
- Cost of debt financing: Does political connection matter?

- Karren Lee-Hwei Khaw, Rozaimah Zainudin and Rasidah Mohd Rashid
- Ownership and control in a double decision framework for raising capital

- Mohsin Khawaja, Muhammad Bhatti and Dawood Ashraf
- Optimal screening capacity and perceived risk of mortgage banks across countries

- Arie Jacobi and Joseph Tzur
- Hedge accounting choice as exchange loss avoidance under financial crisis: Evidence from Brazil

- Ralph Melles Sticca and Silvio Hiroshi Nakao
- Market power and risk-taking of banks: Some semiparametric evidence from emerging economies

- Ji Wu, Mengmeng Guo, Minghua Chen and Bang Jeon
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