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 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
 
 
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