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 40, issue C, 2019
- Stock market trading in the aftermath of an accounting scandal pp. -

- Renuka Sane
- Wealth effects on cross-border acquisition firms from emerging economies pp. -

- Samta Jain, Smita Kashiramka and P.K. Jain
- Does People's Bank of China communication matter? Evidence from stock market reaction pp. -

- Hamza Bennani
- Exchange rate effects of US government shutdowns: Evidence from both developed and emerging markets pp. -

- Susan Sunila Sharma, Dinh Phan and Paresh Kumar Narayan
- Network-based estimation of systematic and idiosyncratic contagion: The case of Chinese financial institutions pp. -

- Jingyu Li, Yanzhen Yao, Jianping Li and Xiaoqian Zhu
- Unveiling the effects of foreign exchange intervention: A panel approach pp. -

- Gustavo Adler, Noëmie Lisack and Rui Mano
- Social ties between SME managers and bank employees: Financial consequences vs. SME managers' perceptions pp. -

- Krzysztof Jackowicz and Łukasz Kozłowski
- Does inside debt alleviate banks' risk taking? Evidence from a quasi-natural experiment in the Chinese banking industry pp. -

- Kebin Deng, Jing He, Dongmin Kong and Jian Zhang
- Taming financial development to reduce crises pp. -

- Sami Ben Naceur, Bertrand Candelon and Quentin Lajaunie
- Government ownership and stock liquidity: Evidence from China pp. -

- Mingfa Ding and Sandy Suardi
- Is Indonesia's stock market different when it comes to predictability? pp. -

- Susan Sunila Sharma, Paresh Narayan, Kannan Thuraisamy and Nisful Laila
- Informal institutions and firm valuation pp. -

- Christopher Hartwell and Anna Malinowska
Volume 39, issue C, 2019
- Stock pricing in Latin America: The synchronicity effect pp. 1-17

- Bruno Figlioli and Fabiano Guasti Lima
- Corporate fraud, risk avoidance, and housing investment in China pp. 18-33

- Geng Niu, Li Yu, Gang-Zhi Fan and Donghao Zhang
- Foreign strategic ownership and minority shareholder protection pp. 34-49

- Hamish Anderson, Jing Chi and Jing Liao
- Capital structure and speed of adjustment in non-financial firms: Does sharia compliance matter? Evidence from Saudi Arabia pp. 50-67

- Faisal Alnori and Faisal Alqahtani
- The performance of cross-border acquisitions targeting African firms pp. 68-82

- Prince Nkiwane and Chimwemwe Chipeta
- From academic abilities to occupation: What drives stock market participation? pp. 83-100

- Tarvo Vaarmets, Kristjan Liivamägi and Tõnn Talpsepp
- How does FX liquidity affect the relationship between foreign ownership and stock liquidity? pp. 101-119

- Jieun Lee and Doojin Ryu
- Is there a housing bubble in China? pp. 120-132

- Tianhao Zhi, Zhongfei Li, Zhiqiang Jiang, Lijian Wei and Didier Sornette
- Controlling shareholders and investment-risk sensitivity in an emerging economy pp. 133-153

- Daniel Ferreira Caixe, Aquiles Elie Guimarães Kalatzis and Luiz Ricardo Kabbach de Castro
- Does downside risk matter more in asset pricing? Evidence from China pp. 154-174

- Heba Ali
- Impact of institutional quality on the capital structure of firms in developing countries pp. 175-209

- Bolaji Tunde Matemilola, A.N. Bany-Ariffin, W.N.w Azman-Saini and Annuar Md Nassir
- The Stock Liquidity of Banks: A Comparison between Islamic and Conventional Banks in Emerging Economies pp. 210-224

- Narjess Boubakri, Ruiyuan Chen, Omrane Guedhami and Xinming Li
Volume 38, issue C, 2019
- Corruption and cash holdings: Evidence from emerging market economies pp. 1-17

- Bhanu Pratap Singh Thakur and M. Kannadhasan
- Gender differences and managerial earnings forecast bias: Are female executives less overconfident than male executives? pp. 18-34

- Ravi Lonkani
- Asymmetric effects of monetary policy on firm scale in China: A quantile regression approach pp. 35-50

- Liting Fang, Lerong He and Zhigang Huang
- On the failure of mutual fund industry regulation pp. 51-72

- Yevgeny Mugerman, Yoel Hecht and Zvi Wiener
- The road to currency internationalization: Global perspectives and chinese experience pp. 73-101

- Tao Liu, Xiaosong Wang and Wing Thye Woo
- Religious beliefs, socially responsible investment, and cost of debt: Evidence from entrepreneurial firms in India pp. 102-114

- Changhong Li, Yuan Xu, Amarjit Gill, Zulfiquer Ali Haider and Yuan Wang
- One country, two systems? The heavy-tailedness of Chinese A- and H- share markets pp. 115-141

- Zhimin Chen and Rustam Ibragimov
- Does mutual fund investment influence accounting fraud? pp. 142-158

- Yang Wang, John Ashton and Aziz Jaafar
- Flight-to-liquidity: Evidence from China's stock market pp. 159-181

- Shaoyu Li, Teng Zhang and Yingxiang Li
- Local currency bond risk premia: A panel evidence on emerging markets pp. 182-196

- Oguzhan Cepni and I.Ethem Güney
- Economic growth and environmental degradation in Vietnam: Is the environmental Kuznets curve a complete picture? pp. 197-218

- Muhammad Shahbaz, Ilham Haouas and Thi Hong Van Hoang
- The cross-section of returns in frontier equity markets: Integrated or segmented pricing? pp. 219-238

- Adam Zaremba and Alina Maydybura
- Ex-dividend day price behavior and liquidity in a tax-free emerging market pp. 239-250

- Daniel Dupuis
- Capital flow transitions: Domestic factors and episodes of gross capital inflows pp. 251-264

- Rogelio Mercado
- The cross-section of emerging market stock returns pp. 265-286

- Matthias X. Hanauer and Jochim G. Lauterbach
- Multiple large shareholders and corporate social responsibility reporting pp. 287-309

- Feng Cao, Peng, Songlan (Stella) and Kangtao Ye
- Competition and bank stability in the MENA region: The moderating effect of Islamic versus conventional banks pp. 310-325

- Mohamed Albaity, Ray Saadaoui Mallek and Abu Hanifa Md. Noman
- Is individual trading priced in the preferred stock discount? pp. 326-346

- Cheol Park, Paul Moon Sub Choi and Joung Hwa Choi
- On international integration of emerging sovereign bond markets pp. 347-363

- Itai Agur, Melissa Chan, Mangal Goswami and Sunil Sharma
- Bitcoin price growth and Indonesia's monetary system pp. 364-376

- Paresh Kumar Narayan, Seema Narayan, R. Eki Rahman and Iwan Setiawan
- Unintended effects of IFRS adoption on earnings management: The case of Latin America pp. 377-388

- Samuel Mongrut and Diego Winkelried
- Ultimate parent's board reform and controlling shareholder entrenchment: Evidence from a quasi-natural experiment in China pp. 389-403

- Guilong Cai, Sujuan Xie, Yue Xu, Yamin Zeng and Junsheng Zhang
- Impact of entrenched ultimate owners’ self-dealing on SEO methods choice and discounts of private placements––Evidence from listed companies in China pp. 404-422

- Gang Jia, Wanli Li and He Zhang
- Portfolio choices, Asset returns and wealth inequality: evidence from China pp. 423-437

- Shang-Jin Wei, Weixing Wu and Linwan Zhang
- Do investment determinants and effects vary across sovereign wealth fund categories? A firm-level analysis pp. 438-457

- Francesco Gangi, Antonio Meles, Mario Mustilli, Domenico Graziano and Nicola Varrone
- Order imbalances and market efficiency: New evidence from the Chinese stock market pp. 458-467

- Ting Zhang, Gao-Feng Gu and Wei-Xing Zhou
- Herding behaviour in an emerging market: Evidence from the Moscow Exchange pp. 468-487

- Edgars Rihards Indārs, Aliaksei Savin and Ágnes Lublóy
| |