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Emerging Markets Finance and Trade
2002 - 2025
From Taylor & Francis Journals Bibliographic data for series maintained by Chris Longhurst (). Access Statistics for this journal.
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2015, volume 51, articles S6
- Finance, Banking, and Regulation in Emerging Economies: An Overview pp. S1-S2

- Jose Angelo Divino, Wilfredo Maldonado, Rogério Mazali and Benjamin Tabak
- Nonlinearities in the Brazilian Yield Curve pp. S3-S13

- Luiz Alberto Araújo and Joaquim Pinto de Andrade
- Modeling a Dynamic Portfolio for Pension Plans in Emerging Markets With Myopic and Nonmyopic Behavior pp. S14-S26

- Livia F. Pimentel and Leonardo P. Santiago
- Credit Risk in Interbank Networks pp. S27-S41

- Vanessa Hoffmann De Quadros, Juan Carlos González-Avella and José Roberto Iglesias
- Initial and Long-Run IPO Returns in Central and Eastern Europe pp. S42-S60

- Ales S. Berk and Polona Peterle
- Import Tariff and Exchange Rate Transmission in a Small Open Economy pp. S61-S79

- Andrea Pereira Macera and Jose Angelo Divino
- Sovereign Debt Crises in Latin America: A Market Pressure Approach pp. S80-S93

- Tjeerd Boonman, Jan Jacobs and Gerard Kuper
- Effect of Corporate Governance on Performance of Microfinance Institutions: A Case from Pakistan pp. S94-S106

- Raheel Gohar and Amna Batool
2015, volume 51, articles S5
- Individual Investor Sentiment and Stock Returns: Evidence from the Korean Stock Market pp. S1-S20

- Minhyuk Kim and Jinwoo Park
- The Effect of Credit Crunches and Equity Financing Restrictions on the Capital Structure Adjustments of Chinese Listed Real Estate Companies pp. S21-S32

- Hong Zhang, Shuai Gao, Michael Seiler and Yang Zhang
- Management Trading in Chinese Entrepreneurial Firms on the ChiNext pp. S33-S45

- May Hu, Xiao Jun and Jingjing Yang
- Mergers, CEO Hubris, and Cost Stickiness pp. S46-S63

- Daecheon Yang
2015, volume 51, articles S4
- Finance, Development, and Corporate Governance in Emerging Economies pp. S1-S1

- Ali Kutan
- Differential Effects of Strong Corporate Governance on Both Professional and Voluntary Corporate Social Responsibility Activities of the Firm pp. S2-S10

- Hyung-Deok Shin, Nam-Ryoung Lee and Ji Hyon Park
- The Role of Parent-Firm Characteristics in Affiliate Activities in South Korean Foreign Direct Investment pp. S11-S22

- Hongshik Lee and Soonhyung Sim
- Quality-Adjusted Agricultural Land Abundance Curse in Economic Development: Evidence from Postreform Chinese Panel Data pp. S23-S39

- Qichun He
- Idiosyncratic Risk and Corporate Governance: Evidence from Jordan pp. S40-S50

- Diana Abu-Ghunmi, Adel Bino and Mohammad Tayeh
- Constructing a Multifactor Model for the Shanghai Stock Exchange pp. S51-S67

- Hsin-Hung Chen, Kuang-Ping Ku and Hsiu-Yu Lee
- Asia-Pacific Stock Market Integration: New Evidence by Incorporating Regime Changes pp. S68-S88

- Sei-Wan Kim, Young-Min Kim and Moon-Jung Choi
- Does Corporate Governance Matter in the Contractual Form of Fund Management Companies in China? pp. S89-S103

- Ping Yu, On Kit Tam and Jing Zhou
2015, volume 51, articles S3
- Corporate Finance for Advancement in Emerging Markets pp. 1-2

- Jae-Seung Baek
- Debt, Maturity, and Corporate Governance: Evidence from Korea pp. 3-19

- Hakkon Kim
- Cofounders and the Value of Family Firms pp. 20-33

- Jae-Seung Baek and Jungmin Kim
- Information Content in Sneer Asymmetry: An Application to Out-of-Sample Implied Volatility Forecasting pp. 34-51

- Youngsoo Choi, Steven J. Jordan and Wonchang Lee
- Price Movement After an Information Event Detected by a New Measure of Private Information Ratio pp. 52-65

- Keebong Park
- Insiders’ Pre-IPO Ownership, Underpricing, and Share-Selling Behavior: Evidence from Korean IPOs pp. 66-84

- Sang Koo Kang, Hyung Cheol Kang, Joonghyuk Kim and Noolee Kim
- The Relationship Between Corporate Social Responsibility and Corporate Financial Performance in Korea pp. 85-94

- Wankeun Oh and Seungho Park
- The Effect of International Financial Reporting Standards Adoption on the Relation Between Earnings Quality and Information Asymmetry in Korea pp. 95-117

- Kwanghee Cho, Kyoung-min Kwon, Han Yi and Yongsuk Yun
- Loan Portfolio Loss Models With More Flexible Asymmetry and Tails for Korean Banks and a Comparison of Their Regional Concentrations pp. 118-139

- Yongwoong Lee and Ser-Huang Poon
- Accrual Quality and Opportunistic Seasoned Equity Offering in the Korean Stock Market pp. 140-157

- Kyung Soon Kim, Jin Hwon Lee and Chune Young Chung
2015, volume 51, articles S2
- Introduction to a Special Issue pp. S1-S2

- Ibrahim Turhan
- Corporate and Capital Market Governance in Emerging Economies pp. S3-S4

- Guler Aras
- The Effect of Corporate Governance Practices on Financial Structure in Emerging Markets: Evidence from BRICK Countries and Lessons for Turkey pp. S5-S24

- Guler Aras
- The Transformation of Corporate Governance in Emerging Markets: Reform, Convergence, and Diversity pp. S25-S46

- Thomas Clarke
- Facing the Regulators: Noncompliance With Detailed Mandatory Compensation Disclosure in Brazil pp. S47-S61

- Lucas Ayres B. de C. Barros, Alexandre Di Miceli da Silveira, Patricia M. Bortolon and Ricardo P. C. Leal
- Post–Initial Public Offering Operating Performance and Its Determinants: Initial Public Offering Characteristics and Corporate Governance Practices pp. S62-S83

- Evren Arik and Elif Mutlu
- Does Governance Efficiency Affect Equity Agency Costs? Evidence from Borsa Istanbul pp. S84-S100

- Guler Aras and Ozlem Kutlu Furtuna
- Corporate Governance and Bank Performance in Emerging Markets: Evidence from Russia and Ukraine pp. S101-S121

- Inessa Love and Andrei Rachinsky
2015, volume 51, articles S1
- Financial and Real Sector Challenges in Emerging Economies pp. S1-S2

- Ali Kutan
- Return and Volatility Spillovers and Cojump Behavior Between the U.S. and Korean Stock Markets pp. S3-S17

- Jun Sik Kim and Doojin Ryu
- The Response of Dynamic Herd Behavior to Domestic and U.S. Market Factors: Evidence from the Greater China Stock Markets pp. S18-S41

- Wan-Ru Yang and Yi-Ling Chen
- External Conditions, the Evolution of Financial Risks, and the Informational Content of Stock Prices: The Case of Chile pp. S42-S57

- Fernando Díaz Hurtado and Fernando Lefort
- The Application of Corporate Governance Indicators With XBRL Technology to Financial Crisis Prediction pp. S58-S72

- Chien-Kuo Li, Deron Liang, Fengyi Lin and Kwo-Liang Chen
- The Information Transmission Effect and Asset Prices: Evidence from the China B-Share Discount pp. S73-S85

- Szu-Lang Liao and Tsung-Ying Tsai
- The Asymmetry and Volatility of the Chinese Stock Market Caused by the “New National Ten” pp. S86-S98

- Jui-Jung Tsai, Yang-Chao Wang and Kehuang Weng
- Momentum in the Chinese Stock Market: Evidence from Stochastic Oscillator Indicators pp. S99-S110

- Yensen Ni, Yi-Ching Liao and Paoyu Huang
- The Effect of Investor Sentiment on Feedback Trading and Trading Frequency: Evidence from Taiwan Intraday Data pp. S111-S120

- Wu-Yueh Hu, Chih-Jen Huang, Heng-Yu Chang and Wei-Ju Lin
- Risk, Capital, and Operating Efficiency: Evidence from Taiwan’s Life Insurance Market pp. S121-S132

- Jin-Li Hu and Hsueh-E Yu
- An Application of the Dynamic Network DEA Model: The Case of Banks in Taiwan pp. S133-S151

- Chuang-Min Chao, Ming-Miin Yu and Hsiao-Ning Wu
- Financial Regulation, Exchange Rate Exposure, and Hedging Activities: Evidence from Korean Firms pp. S152-S173

- Jong-Hee Kim and Joocheol Kim
- Insider Ownership, Subsidiary Cash Holdings, and Economic Consequences: Evidence from Listed Chinese Companies pp. S174-S195

- Huili Zhang, Zhengfei Lu, Ran Zhang and Guohua Jiang
- Chief Financial Officers’ Power, Institutional Environment, and Corporate Effective Tax Rate: Evidence from China pp. S196-S213

- Danlin Pu, Yun Hong and Ming-Hsien Hsueh
- The Baumol Diseases and the Korean Economy pp. S214-S223

- Wankeun Oh and Kyungsoo Kim
- Openness, Ownership, and Regional Economic Growth in Vietnam pp. S224-S233

- Chih-Hai Yang, Eric Ramstetter, Jen-Ruey Tsaur and Minh Ngoc Phan
- Is the Magic of the Diaspora Fact or Fiction? A Study of Taiwan’s Trade Performance in the Bamboo Network pp. S234-S250

- Chengli Tien and Chin-jung Luan
- Hyperbolic Discounting and Consumer Patience: The Case of Korea pp. S251-S260

- Yoonseok Choi and Sunghyun Kim
- Financial Development and Total Factor Productivity Growth: Evidence from China pp. S261-S274

- Jian Han and Yanzhi Shen
- Financial Deepening, Asset Price Inflation, and Economic Convergence: Empirical Analysis Based on China’s Experience pp. S275-S284

- Wanjun Yao, Han Wu and Tomoko Kinugasa
2015, volume 51, articles 6
- Politics, Finance, and Economic Fluctuations in China pp. 1071-1073

- Dayong Zhang
- The Squeezed Middle: Political Affiliation and Financial Constraints in China pp. 1074-1083

- Puyang Sun and Wei Jiang
- Do We Need to Recover + 0 Trading? Evidence from the Chinese Stock Market pp. 1084-1098

- Yu Wu and Fang Qin
- Does Refinancing Incentive Affect Cash Dividends Policy? Evidence from the Semimandatory Dividend Policy in China pp. 1099-1116

- Guoying Deng, Shaoyang Zhao and Nanmiao Zhu
- Hedging or Speculation: What Can We Learn from the Volume-Return Relationship? pp. 1117-1128

- Lin Huang and Dayong Zhang
- Effects of Structural Oil Shocks on Output, Exchange Rate, and Inflation in the BRICS Countries: A Structural Vector Autoregression Approach pp. 1129-1140

- Qiang Ji, Ming-Lei Liu and Ying Fan
- MENA Economies: Reforms, Risk, and Development pp. 1141-1143

- Ege Yazgan
- The Reform of Energy Subsidies in Iran: The Role of Cash Transfers pp. 1144-1162

- Djavad Salehi-Isfahani, Bryce Wilson Stucki and Joshua Deutschmann
- Intraindustry Volatility Spillovers in the MENA Region pp. 1163-1174

- Serda Selin Öztürk and Engin Volkan
- Structural Change in MENA Remittance Flows pp. 1175-1178

- George Naufal and Ismail Genc
- Measuring Human Development in the MENA Region pp. 1179-1192

- Mehmet Pinar, Thanasis Stengos and Ege Yazgan
- Risk Spillover Between the GIPSI Economies and Egypt, Saudi Arabia, and Turkey pp. 1193-1208

- Dilip Kumar
- Structural Change and Industrial Policy in Turkey pp. 1209-1229

- İzak Atiyas and Ozan Bakis
- Herding Behavior and Default in Funded Pension Schemes: The Chilean Case pp. 1230-1243

- Francisco Bravo and José Luis Ruiz
- The Effects of Corporate Board and CEO Characteristics on Firm Value: Empirical Evidence from Listed Companies on the Bucharest Stock Exchange pp. 1244-1260

- Georgeta Vintila, Mihaela Onofrei and Ştefan Gherghina
- Accounting for Post-Crisis Macroeconomic Developments in Russia: A Large Bayesian Vector Autoregression Model Approach pp. 1261-1275

- Elena Deryugina and Alexey Ponomarenko
- Political Institutions, Trade Openness, and Economic Growth: New Evidence pp. 1276-1291

- Michaël Bonnal and Mehmet Yaya
- Industrial Diversification and Risk in an Emerging Market: Evidence from Turkey pp. 1292-1306

- Emel Yücel and Yıldırım Beyazıt Önal
- Determinants of Turkish Exports to European Union Countries: A Sectoral Panel Data Analysis pp. 1307-1325

- Güzin Bayar, Metehan Ünal and Selman Tokpunar
- Sovereign Risk and Natural Disasters in Emerging Markets pp. 1326-1341

- Jeroen Klomp
- Idiosyncratic Volatility Forecasting in the Stock Market of Saudi Arabia pp. 1342-1357

- Jorg Bley and Mohsen Saad
- Editorial Board EOV pp. ebi-ebi

- The Editors
2015, volume 51, articles 5
- Introduction: Emerging Stock and Bond Markets: Performance and Volatility pp. 857-858

- Paresh Narayan
- Volatility Dynamics in the Term Structure of Latin American Sovereign International Bonds pp. 859-866

- Kannan S. Thuraisamy
- Are Asian Stock Market Returns Predictable? pp. 867-878

- Seema Narayan
- The Random-Walk Hypothesis on the Indian Stock Market pp. 879-892

- Ankita Mishra, Vinod Mishra and Russell Smyth
- Stock Price Comovement: Evidence from India pp. 893-903

- Sagarika Mishra and Sandip Dhole
- The Effect of the Lehman Brothers’ Bankruptcy on the Performance of Chinese Sectors pp. 904-914

- Kumari Ranjeeni and Susan Sharma
- Some Hypotheses on Commonality in Liquidity: New Evidence from the Chinese Stock Market pp. 915-944

- Paresh Kumar Narayan, Zhichao Zhang and Xinwei Zheng
- Introduction: Technology, Finance, and Trade in Emerging Markets pp. 945-946

- YoungJun Kim, Beom Cheol Cin, Kwanghee Cho and Junesuh Yi
- The Relationships Among Firm Size, Innovation Type, and Export Performance With Regard to Time Spans pp. 947-962

- Yun-Seop Hwang, Mun-Ho Hwang and Xiaoxu Dong
- A Technology Valuation Model Using Quantitative Patent Analysis: A Case Study of Technology Transfer in Big Data Marketing pp. 963-974

- Sunghae Jun, Sangsung Park and Dongsik Jang
- Product-Service System and Firm Performance: The Mediating Role of Product and Process Technological Innovation pp. 975-984

- Yong-Pyo Hong, YoungJun Kim and Beon Cheol Cin
- Performance of Technology Sector Hedge Funds in Emerging Markets pp. 985-1000

- Junesuh Yi and Kwanghee Cho
- Certification Benefits in High-Tech Industry: Evidence from Supply Contracts in the Korean Market pp. 1001-1020

- Noolee Kim and Kyoung-Min Kwon
- The Effect of Globalization on Inflation in New Emerging Markets pp. 1021-1033

- Chengsi Zhang
- The Determinants of Endogenous Oil Price: Considering the Influence from China pp. 1034-1050

- Boqiang Lin and Jianglong Li
- Household Borrowing During a Creditless Recovery pp. 1051-1068

- Jaanika Meriküll
- Errata pp. 1069-1069

- The Editors
2015, volume 51, articles 4
- Guest Editors’ Introduction: Frontier Issues of Fiscal and Monetary Policy in Emerging Market Economies pp. 687-688

- Qingwang Guo and Chengsi Zhang
- Forecasting Inflation in China pp. 689-700

- Qizhi He and Conglai Fan
- China’s Monetary Policy and Systemic Risk pp. 701-713

- Jianhua Gang and Zongxin Qian
- Predictability of Exchange Rates With Taylor Rule Fundamentals: Evidence from Inflation-Targeting Emerging Countries pp. 714-728

- Joseph Alba, Donghyun Park and Taojun Xie
- The Fiscal-Monetary Policy Mix and Exchange Rate Stability: A Dynamic Stochastic General Equilibrium Model With Chinese Characteristics pp. 729-746

- Junxue Jia, Jing Guo and Zijie Wang
- Do Time-Varying Betas Help in Asset Pricing? Evidence from Borsa Istanbul pp. 747-756

- Berk Yayvak, Levent Akdeniz and Aslihan Altay-Salih
- Studies of Equity Returns in Emerging Markets: A Literature Review pp. 757-773

- Yigit Atilgan, K. Ozgur Demirtas and Koray D. Simsek
- Further Evidence on Foreign Exchange Jumps and News Announcements pp. 774-787

- Michael Frömmel, Xing Han and Frederick Van Gysegem
- Price Manipulation by Intermediaries pp. 788-797

- Serkan Imisiker, Rasim Ozcan and Bedri Tas
- Does China’s Energy Development Plan Affect Energy Conservation? Empirical Evidence from Coal-Fired Power Generation pp. 798-811

- Boqiang Lin and Jianglong Li
- The Effect of China’s Natural Gas Pricing Reform pp. 812-825

- Boqiang Lin, Chang Liu and Lei Lin
- The Asymmetric Effects of Official Interest Rate Changes on China’s Stock Market During Different Market Regimes pp. 826-841

- Xin Lv, Weijia Dong and Fang Fang
- Determinants of the Real Exchange Rate in Oil-Producing Countries of the Middle East and North Africa: A Panel Data Investigation pp. 842-855

- Karim Eslamloueyan and Amir Kia
2015, volume 51, articles 3
- Guest Editor’s Introduction pp. 445-447

- Rangan Gupta
- Convergence in Public Expenditure Across a Sample of Emerging Countries: Evidence from Club Convergence pp. 448-462

- Nicholas Apergis
- Determinants of Government and External Debt: Evidence from the Young Democracies of South America pp. 463-472

- Manoel Bittencourt
- Short-Run Forecasting of Argentine Gross Domestic Product Growth pp. 473-485

- Maximo Camacho, Marcos Dal Bianco and Jaime Martinez-Martin
- Testing the Out-of-Sample Forecasting Ability of a Financial Conditions Index for South Africa pp. 486-501

- Kirsten Thompson, Renee van Eyden and Rangan Gupta
- Can We Beat the Random-Walk Model for the South African Rand–U.S. Dollar and South African Rand–UK Pound Exchange Rates? Evidence from Dynamic Model Averaging pp. 502-524

- Riané de Bruyn, Rangan Gupta and Renee van Eyden
- Bank-Deposit Contracts Versus Financial-Market Participation in Emerging Economies pp. 525-536

- Alexander Zimper
- Innovation in the Services Sector pp. 537-539

- Diego Aboal, Claudio Bravo-Ortega and Gustavo Crespi
- Service Innovation in Developing Economies: Policy Rationale and Framework pp. 540-557

- Luis Rubalcaba
- Does Innovation Destroy Employment in the Services Sector? Evidence from a Developing Country pp. 558-577

- Diego Aboal, Paula Garda, Bibiana Lanzilotta and Marcelo Perera
- Determinants of Innovation and Productivity in the Service Sector in Mexico pp. 578-592

- Claudia De Fuentes, Gabriela Dutrénit, Fernando Santiago and Natalia Gras
- Innovation and Productivity in Services: Evidence from Chile pp. 593-611

- Roberto Alvarez, Claudio Bravo-Ortega and Andres Zahler
- Innovation and Productivity in the Colombian Service and Manufacturing Industries pp. 612-634

- Juan Gallego, Luis Gutiérrez and Rodrigo Taborda
- Innovation in Services: The Case of Rural Tourism in Argentina pp. 635-646

- Andrés López and Daniela Ramos
- Interaction Between Single-Stock Futures and the Underlying Securities: A Cross-Country Analysis pp. 647-657

- Elif Mutlu and Evren Arık
- Asia-Pacific Stock Return Predictability and Market Information Flows pp. 658-671

- Chien-Chih Lin
- Investor Attention, Institutional Ownership, and Stock Return: Empirical Evidence from China pp. 672-685

- Qianwei Ying, Dongmin Kong and Danglun Luo
2015, volume 51, articles 2
- Symposium: Emerging Markets, International Business, and Corporate Social Responsibility pp. 291-292

- Byung Il Park, Pervez N. Ghauri, Wonsik Sul and Suk Bong Choi
- Consumer Expectations of Corporate Social Responsibility of Foreign Multinationals in Korea pp. 293-305

- C. Min Han
- Dividend Policy and Corporate Social Responsibility: A Comparative Analysis of Multinational Enterprise Subsidiaries and Domestic Firms in Korea pp. 306-319

- Joonil Kim and Yongbok Jeon
- A Corporate Social Entrepreneurship Approach to Market-Based Poverty Reduction pp. 320-334

- Reza Zaefarian, Misagh Tasavori and Pervez N. Ghauri
- Stakeholder Influence on Local Corporate Social Responsibility Activities of Korean Multinational Enterprise Subsidiaries pp. 335-350

- Byung Il Park and Jiyul Choi
- Introduction of Shareholder-Friendly Behaviors After Governance Reform in Korean Firms: Is It a Proactive Response? pp. 351-363

- Jootae Kim and Kum-Sik Oh
- A Comparison Study of Multinational Chain Hotel Employees’ Perceptions of Corporate Social Responsibility in China and Korea pp. 364-376

- ChungAh Kim, Sang Hyuck Kim and Keon Hee Lee
- Effects of Government Involvement in Corporate Social Responsibility: An Analysis of the Indian Companies Act, 2013 pp. 377-390

- Jin Young Shin, Moosup Jung, Kyung-il Khoe and Myung-Su Chae
- Using the ARDL-ECM Approach to Explore the Nexus Among Urbanization, Energy Consumption, and Economic Growth in Jiangsu Province, China pp. 391-399

- Xueling Guan, Min Zhou and Ming Zhang
- State-Dependent Illiquidity Premium in the Korean Stock Market pp. 400-417

- Jeewon Jang, Jangkoo Kang and Changjun Lee
- Inflation Dynamics in Turkey: In Pursuit of a Domestic Cost Measure pp. 418-431

- Selen Başer Andiç, Hande Kucuk and Fethi Ogunc
- Are Investor Protection and Ownership Concentration Substitutes in Chinese Family Firms? pp. 432-443

- Jing Zhou, On Kit Tam and Wei Lan
2015, volume 51, articles 1
- Productivity, Trade, and Development in Latin America pp. 1-2

- Roberto Alvarez
- Innovation, Firm Size, Technology Intensity, and Employment Generation: Evidence from the Uruguayan Manufacturing Sector pp. 3-26

- Diego Aboal, Paula Garda, Bibiana Lanzilotta and Marcelo Perera
- Employment and Innovation: Firm-Level Evidence from Argentina pp. 27-47

- Ramiro de Elejalde, David Giuliodori and Rodolfo Stucchi
- Long-Term Productivity Effects of Public Support to Innovation in Colombia pp. 48-64

- Gustavo Crespi, Lucas Figal Garone, Alessandro Maffioli and Marcela Melendez
- Learning-by-Exporting Effects: Are They for Real? pp. 65-89

- Ana Fernandes and Alberto Isgut
- Dollarization, Foreign Ownership, and Competition in the Banking Industry in Latin America pp. 90-107

- Aldo Gonzalez, Alejandro Micco and Ana Maria Montoya
- Will Political Connections Be Accounted for in the Interest Rates of Chinese Urban Development Investment Bonds? pp. 108-129

- Shiyi Chen and Li Wang
- The Stock Exchange of Suriname: Returns, Volatility, Correlations, and Weak-Form Efficiency pp. 130-139

- Denice Bodeutsch and Philip Hans Franses
- Effect of Global Shocks and Volatility on Herd Behavior in an Emerging Market: Evidence from Borsa Istanbul pp. 140-159

- Mehmet Balcilar and Riza Demirer
- Pyramid IPOs on the Chinese Growth Enterprise Market pp. 160-173

- Martin Holmen and Peng Wang
- Family Control and Debt When Dual-Class Shares Are Restricted: The Case of Poland pp. 174-187

- Tomasz Jewartowski and Michał Kałdoński
- Does Heterogeneity in Investment Horizons Affect Portfolio Diversification? Some Insights Using M-GARCH-DCC and Wavelet Correlation Analysis pp. 188-208

- Syed Faiq Najeeb, Obiyathulla Bacha and Abul Masih
- What Drives Stock Market Growth? A Case of a Volatile Emerging Economy pp. 209-223

- Syed Mujahid Hussain, Timo Korkeamäki, Danielle Xu and Ashfaque Hasan Khan
- Debt Sustainability and Financial Crises in South Africa pp. 224-233

- Ruthira Naraidoo and Leroi Raputsoane
- Political Connections and Corporate Diversification: An Exploration of Chinese Firms pp. 234-246

- Min Zhang, Jun Su, Yuefan Sun, Wen Zhang and Na Shen
- Price Discovery Between the New York Stock Exchange and Istanbul Stock Exchange pp. 247-258

- Aslı Aşçıoğlu, Mehmet Karahan and Neslihan Yılmaz
- Unemployment Convergence in Central and Eastern European Countries: Driving Forces and Cluster Behavior pp. 259-273

- Juan Cuestas, Mercedes Monfort and Javier Ordóñez
- Labor-Force Participation of Married Women in Turkey: A Study of the Added-Worker Effect and the Discouraged-Worker Effect pp. 274-290

- Deniz Karaoglan and Cagla Okten
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On this page- 2015, volume 51
-
Articles S6
Articles S5 Articles S4 Articles S3 Articles S2 Articles S1 Articles 6 Articles 5 Articles 4 Articles 3 Articles 2 Articles 1
Other years2025, volume 61
2024, volume 60
2023, volume 59
2022, volume 58
2021, volume 57
2020, volume 56
2020, volume 55
2019, volume 55
2018, volume 54
2017, volume 53
2016, volume 52
2014, volume 50
2013, volume 49
2012, volume 48
2011, volume 47
2010, volume 46
2009, volume 45
2008, volume 44
2007, volume 43
2006, volume 42
2005, volume 41
2004, volume 40
2003, volume 39
2002, volume 38
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On this page- 2015, volume 51
-
Articles S6
Articles S5 Articles S4 Articles S3 Articles S2 Articles S1 Articles 6 Articles 5 Articles 4 Articles 3 Articles 2 Articles 1
Other years2025, volume 61
2024, volume 60
2023, volume 59
2022, volume 58
2021, volume 57
2020, volume 56
2020, volume 55
2019, volume 55
2018, volume 54
2017, volume 53
2016, volume 52
2014, volume 50
2013, volume 49
2012, volume 48
2011, volume 47
2010, volume 46
2009, volume 45
2008, volume 44
2007, volume 43
2006, volume 42
2005, volume 41
2004, volume 40
2003, volume 39
2002, volume 38
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