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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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2017, volume 53, articles 12
- East Asia’s Growing Global Influence and Challenges in Finance and Trade pp. 2645-2648

- Tomoo Kikuchi
- Capital Inflows, Credit Growth, and Financial Systems pp. 2649-2671

- Deniz Igan and Zhibo Tan
- Economic and Financial Interconnections and Income Growth Convergence in Asia: A Real-Financial Nexus? pp. 2672-2685

- Tony Cavoli and Sasidaran Gopalan
- Do China’s Shadow Banking Interest Rates Capture Its Monetary Policy Stance? pp. 2686-2695

- Shen Zhang and Jing Wan
- Rebalancing Trade in East Asia: Evidence from the Electronics Industry pp. 2696-2705

- Willem Thorbecke
- Inertia of the US Dollar as a Key Currency Through the Two Crises pp. 2706-2724

- Eiji Ogawa and Makoto Muto
- The Impacts of Emerging Asia on Global Financial Markets pp. 2725-2743

- Shin-ichi Fukuda and Mariko Tanaka
- Spillovers of the United States’ Unconventional Monetary Policy to Emerging Asia: The Bank Lending Channel pp. 2744-2769

- Ying Xu and Hai Anh La
- Volatility Spillovers and Linkages in Asian Stock Markets pp. 2770-2781

- Hwee Kwan Chow
- Economic Growth and the GDP Share of Consumption: An Empirical Analysis for Asia pp. 2782-2793

- Markus Brueckner
- Economic Growth, Financial Development, and Income Inequality pp. 2794-2825

- Donghyun Park and Kwanho Shin
- Developing Local Currency Bond Markets in Asia pp. 2826-2844

- Cyn-Young Park
- The Effect of RMB Internationalization on Belt and Road Initiative: Evidence from Bilateral Swap Agreements pp. 2845-2857

- Fan Zhang, Miaojie Yu, Jiantuo Yu and Yang Jin
- Editorial Board EOV pp. 2858-2858

- The Editors
2017, volume 53, articles 11
- South and North Korea: Economic Challenges and Policy Issues pp. 2395-2396

- Byung-Yeon Kim and Soyoung Kim
- Natural Exchange Rate and Its Implications for the Purchasing Power Parity Puzzle pp. 2397-2418

- Tack Yun
- Optimal Macroprudential Policies and House Prices in Korea pp. 2419-2439

- Yongseung Jung, Soyoung Kim and Doo Yong Yang
- The Impact of Exchange Rate on Firm Performance: Evidence from Korean Firms pp. 2440-2449

- Mihye Lee
- Effects of Monetary Policy Shocks on Farm Prices and Exchange Rates in Korea pp. 2450-2462

- Jihae Kim and Soyoung Kim
- Dollarization, Seigniorage, and Prices: The Case of North Korea pp. 2463-2475

- Seung-Ho Jung, Ohik Kwon and Sung Min Mun
- The Economic Impact of Korean Reunification on Major Trade Partners: An Empirical Analysis Based on the World Input–Output Tables pp. 2476-2504

- Kyoji Fukao, Tomohiko Inui and Hyeog Ug Kwon
- Economic System and Financial Literacy: Evidence from North Korean Refugees pp. 2505-2527

- Minjung Kim, Syngjoo Choi and Jungmin Lee
- Expected Returns and Idiosyncratic Risk: Industry-Level Evidence from Russia pp. 2528-2544

- Jyri Kinnunen and Minna Martikainen
- The Effects of Productivity Shocks, Financial Shocks, and Monetary Policy on Exchange Rates: An Application of the Currency Crisis Model and Implications for Emerging Market Crises pp. 2545-2561

- Ryota Nakatani
- The Characteristics of Domestic Firms: Materializing Productivity Spillovers from FDI pp. 2562-2584

- Seda Köymen Özer and Selin Sayek Böke
- Macroeconomic Factors in the Dynamics of Corporate and Household Saving: Evidence from Central and Eastern Europe pp. 2585-2608

- Merike Kukk and Karsten Staehr
- The Impact of Durable Relationship with Banks when Crisis Hits pp. 2609-2624

- Tamer Bakiciol
- Economic Growth or Environmental Sustainability? Drivers of Pollution in the Yangtze River Delta Urban Agglomeration in China pp. 2625-2643

- Yanqing Jiang and Jinghai Zheng
- Erratum pp. 2644-2644

- The Editors
2017, volume 53, articles 10
- Capital Markets and Firm Performance in Emerging Economies pp. 2157-2158

- Luis Berggrun, Darcy Fuenzalida and Samuel Mongrut
- Corporate Governance and Its Impact on R&D Investment in Emerging Markets pp. 2159-2178

- Marc Steffen Rapp and Iuliia A. Udoieva
- Mergers and Acquisitions in Latin America: Industrial Productivity and Corporate Governance pp. 2179-2198

- Lina Cortés, Iván A. Durán, Sandra Gaitán and Mateo Vasco
- Do Personal Taxes Destroy Tax Shields? A Critique to Miller’s (1977) Proposal pp. 2199-2214

- Ignacio Velez-Pareja
- Do Capital Flows Matter to Stock and House Prices? Evidence from China pp. 2215-2232

- Ling Feng, Ching-Yi Lin and Chun Wang
- The Return Performance of Cubic Market Model: An Application to Emerging Markets pp. 2233-2241

- Andrés Mora-Valencia, Javier Perote and José Elías Tobar Arias
- Are Investors Concerned with Stock Market Upgrades? Evidence from Multivariate Framework Analysis pp. 2242-2258

- Bana Abuzayed and Nedal Al-Fayoumi
- Investors’ Fear and Herding Behavior: Evidence from the Taiwan Stock Market pp. 2259-2278

- Teng-Ching Huang and Kuei-Yuan Wang
- Is the Virtual Integration of Financial Markets Beneficial in Emerging Markets? Evidence from MILA pp. 2279-2302

- Christian Espinosa-Méndez, Juan Gorigoitía and João Vieito
- An Exploratory Study on Nonlinear Causality Among the MILA Markets pp. 2303-2317

- Roberto Santillán-Salgado, Ricardo Massa and Montserrat Reyna Miranda
- Trade Credit or Financial Credit? An International Study of the Choice and Its Influences pp. 2318-2332

- Matthew D. Hill, Gary W. Kelly, Lorenzo A. Preve and Virginia Sarria-Allende
- Understanding the Recent Growth in Consumer Loans and Credit Cards in Emerging Markets: Evidence from Turkey pp. 2333-2346

- Murat Mazibaş and Yusuf Tuna
- A Mixed Dependence Between the Exchange Rate and International Crude Oil Returns: An Application of Dynamic Mixture Copula pp. 2347-2360

- Kuang-Liang Chang
- The Reaction of Coffee Futures Price Volatility to Crop Reports pp. 2361-2376

- Rodrigo Silveira, Fabio Mattos and Maria Sylvia M. Saes
- Does a Held-to-Maturity Strategy Impede Effective Portfolio Diversification for Islamic Bond () Portfolios? A Multi-Scale Continuous Wavelet Correlation Analysis pp. 2377-2393

- Syed Faiq Najeeb, Obiyathulla Bacha and Abul Masih
2017, volume 53, articles 9
- Empirical Spatial Econometrics: Applications to China’s Economy pp. 1939-1942

- Yihua Yu
- Public Expenditure Interactions of Chinese Local Governments: A Simultaneous Equations Network Approach pp. 1943-1960

- Jinghua Lei, Yanbin Chen, Junxue Jia and Kai Liu
- Yardstick Competition and the Formation of Enterprise Zones in China pp. 1961-1972

- Yihua Yu, Xinye Zheng and Li Zhang
- Effect of Tourism Building Investments on Tourist Revenues in China: A Spatial Panel Econometric Analysis pp. 1973-1987

- Min Zhou, Xiaoqun Liu, Bin Pan, Xin Yang, Fenghua Wen and Xiao-Hua Xia
- Will Fiscal Decentralization Influence FDI Inflows? A Spatial Study of Chinese Cities pp. 1988-2000

- Jing Wang, Wei Wei, HuiHui Deng and Yihua Yu
- The Effect of Economic Cooperation on China’s Outward Foreign Direct Investment—A Spatial Panel Data Approach pp. 2001-2019

- Changfu Sun and Yanmin Shao
- Institutional Environment, OFDI, and TFP Growth: Evidence from China pp. 2020-2038

- Yaoguo Wu, Yuegang Song and Guoying Deng
- Do Spatial Spillover Effects of Nonperforming Loans for Commercial Banks Exist? Evidence from Chinese Provinces pp. 2039-2051

- Xi Zhang, Dongmei Guo, Yi Xiao and Mingxi Wang
- Financial Functions and Financial Development in China: A Spatial Effect Analysis pp. 2052-2062

- Xulan Yu, Miao Li and Shuting Huang
- Spatial Perspective on Regional Growth in China: Evidence from an Extended Neoclassic Growth Model pp. 2063-2081

- Xiangwei Sun, Fei Chen and Geoffrey Hewings
- Shifting Toward the West? An Analysis of Sectoral Employment Growth Across China’s Counties, 2000–2010 pp. 2082-2103

- Xuejun Wang and Xi Tian
- Spatial Spillovers of Regional Innovation: Evidence from Chinese Provinces pp. 2104-2122

- Huasheng Song and Min Zhang
- Growth of Green Total Factor Productivity and Its Determinants of Cities in China: A Spatial Econometric Approach pp. 2123-2140

- Feng Tao, Huiqin Zhang, Yi Hu and Andrew A. Duncan
- Term Limits of Public Officials, Environmental Regulations, and Sustainable Development: An Analysis Based on Empirical Spatial Econometrics pp. 2141-2155

- Sheng Liu, Feng Tao and Huiqin Zhang
2017, volume 53, articles 8
- Financial Development and Regulation in China pp. 1705-1705

- Jian Chen
- Open Market Operation Effectiveness in China pp. 1706-1719

- Zheng Qiao and Yangshu Liu
- Forecasting Bull and Bear Markets: Evidence from China pp. 1720-1733

- Xiaojian Yu, Zewei Chen, Weidong Xu and Junhui Fu
- Time-Varying Variance Risk Premium and the Predictability of Chinese Stock Market Return pp. 1734-1748

- Jian Chen, Chen He and Jing Zhang
- Application of Heston’s Model to the Chinese Stock Market pp. 1749-1763

- Guifang Liu and Weijun Xu
- A Strategic Asset Pricing Model for Relative Performance Concern pp. 1764-1778

- Jianfeng Yu and Weidong Xu
- Trading Better Versus Making More: Evidence from an Emerging Market pp. 1779-1795

- Aliaa Bassiouny and Eskandar Tooma
- The Effect of US Stock Market Uncertainty on Emerging Market Returns pp. 1796-1811

- Ghulam Sarwar and Walayet Khan
- Global or Domestic? Which Shocks Drive Inflation in European Small Open Economies? pp. 1812-1835

- Aleksandra Hałka and Jacek Kotłowski
- Implicit Inflation and Risk Premiums in the Brazilian Fixed Income Market pp. 1836-1853

- Lucas Argentieri Mariani and Márcio Laurini
- Political Connections and Government Subsidies: Evidence from Financially Distressed Firms in China pp. 1854-1868

- Qizhi Tao, Yicheng Sun, Yingjun Zhu and Xiaolin Yang
- Does Residential Housing Crowd Out or Promote Households’ Stock Investment? Evidence from China pp. 1869-1893

- Qin Zhou, Qing He and Yan Yuan
- The Politics of Sovereign Credit Spreads pp. 1894-1922

- Houcem Smaoui, Narjess Boubakri and Jean-Claude Cosset
- How Do Extreme Global Shocks Affect Foreign Portfolio Investment? An Event Study for India pp. 1923-1938

- Anick Yaha, Nirvikar Singh and Jean Paul Rabanal
2017, volume 53, articles 7
- Islamic Finance and Banking pp. 1455-1457

- Abul Masih
- Optimal Carried Interest: Adverse Selection in Islamic and Conventional Venture Capital and Private-Equity Funds pp. 1458-1476

- Meryem Mehri, M. Kabir Hassan and Kaouther Jouaber-Snoussi
- Risk–Return Profiles of Islamic Equities and Commodity Portfolios in Different Market Conditions pp. 1477-1500

- Sarkar Humayun Kabir, Abul Masih and Obiyathulla Bacha
- The Determinants of Sukuk Market Development pp. 1501-1518

- Houcem Smaoui and Mohsin Khawaja
- Re-Examining the Determinants of Islamic Bank Performance: New Evidence from Dynamic GMM, Quantile Regression, and Wavelet Coherence Approaches pp. 1519-1534

- Mohammad Ashraful Chowdhury, Md. Mahmudul Haque and Abul Masih
- Do Islamic Bond (Sukuk) Prices Reflect Financial and Policy Uncertainty? A Quantile Regression Approach pp. 1535-1546

- Juan Reboredo and Nader Naifar
- Religion of Islam and Microfinance: Does It Make Any Difference? pp. 1547-1562

- Mohammad Ashraful Mobin, Abul Masih and Syed Othman Alhabshi
- Constructing Fama–French Factors from Style Indices: Evidence from the Islamic Equity Market pp. 1563-1572

- Shahrin Saaid Shaharuddin, Wee Yeap Lau and Rubi Ahmad
- Investors’ Behavior in an Emerging, Tax-Free Market pp. 1573-1588

- Khalil Al-Hilu, A.S.M. Azad, Abdelaziz Chazi and Ashraf Khallaf
- Does Corporate Social Responsibility Affect the Cost of Bank Loans? Evidence from China pp. 1589-1602

- Jun Huang, Zhixin Duan and Guowei Zhu
- The Quality of Imported Fruits in China pp. 1603-1618

- Xu Tian and Xiaohua Yu
- Global Liquidity, Current Account Deficit, and Exchange Rate Balance Sheet Effects in Turkey pp. 1619-1640

- Ahmet Çalışkan and Amira Karimova
- Mortgages Denominated in Domestic and Foreign Currencies: Simple Models pp. 1641-1653

- Julia Király and Andras Simonovits
- Voluntary Adoption of the IFRS and Industry-Level Comparability: Evidence from Korean Unlisted Firms pp. 1654-1666

- Heesun Chung and Sung Ook Park
- Waves and Determinants in Mergers and Acquisitions: The Case of Latin America pp. 1667-1690

- Lina Cortés, Diego Agudelo and Samuel Mongrut
- Dual-Class Firms: Evidence from IPOs of Chinese Firms Cross-Listed on US Exchanges pp. 1691-1704

- Abdullah, Zhou Jia'nan and Muhammad Hashim Shah
2017, volume 53, articles 6
- Institutions, Reforms, and Economic Development pp. 1241-1242

- Qixiang Sun and Xuzheng Qin
- Social Trust, Institution, and Economic Growth: Evidence from China pp. 1243-1261

- Wei Cui
- Sino–LAC Ties: Trade Relationships, Trade Potentials, and Asymmetric Dependency pp. 1262-1277

- Evelyn Devadason, V. G. R. Chandran and Shujaat Mubarik
- An Empirical Study of the Asset Price Channel of Monetary Policy Transmission in China pp. 1278-1288

- Hui Zhang and Hao Huang
- Does Medical Equipment Expansion Lead to More Diagnostic Services? Evidence from China’s Sichuan Province pp. 1289-1300

- Mengyun Liu, Xuezheng Qin and Jay Pan
- Why the Development of Health Insurance Is Regionally Imbalanced: Evidence from China pp. 1301-1317

- Lingyan Suo and Ruiyun Wanyan
- Trust Beneficiary Protection, Ownership Structure, and Risk Taking of Trust Corporations: Evidence from China pp. 1318-1336

- Jinxian Li and Xiaojian Liu
- Abatement Efforts, Technological Progress, and Pollution Control in China’s Industrial Sector pp. 1337-1351

- Xiaobo Shen and Boqiang Lin
- Did China Effectively Manage Its Foreign Exchange Reserves? Revisiting the Currency Composition Change pp. 1352-1373

- Kai Shi and Li Nie
- The Determinants of Chinese Outward FDI in Countries Along “One Belt One Road” pp. 1374-1387

- Hai Yue Liu, Ying Kai Tang, Xiao Lan Chen and Joanna Poznanska
- Do Hallyu (Korean Wave) Exports Promote Korea’s Consumer Goods Exports? pp. 1388-1404

- Chan-Guk Huh and Jie Wu
- Decisions Made by the Controlling Shareholder Under Financial Crisis pp. 1405-1424

- Huajie Liang and Renzeng Wang
- Regional Differences and Threshold Effects of Capital-Skill Complementarity in China pp. 1425-1441

- Ren Wang and Hongqi Ma
- Spatial Distributions and Determinants of Regional Innovation in China: Evidence from Chinese Metropolitan Data pp. 1442-1454

- Duoduo Tan, Cheng Cheng, Mujun Lei and Yucheng Zhao
2017, volume 53, articles 5
- An Alternative View on Determinants of the Effective Tax Rate: Evidence from Chinese Listed Companies pp. 1001-1014

- Jifeng Cao and Yiwen Cui
- Illiquidity Premium in the MILA pp. 1015-1029

- Darcy Fuenzalida, Luis Berggrun and Samuel Mongrut
- The Effect of House Price on Stock Market Participation in China: Evidence from the CHFS Microdata pp. 1030-1044

- Xiaoyu Chen and Xiaohao Ji
- Credit Ratings and Bank Affiliation to Financial Holding Companies: Effects of Government Ownership and Financial Crisis pp. 1045-1071

- Chung-Hua Shen, Jun-Guo Shi and Yu-Li Huang
- Does the Momentum Strategy Work at the Industry Level? Evidence from the Chinese Stock Market pp. 1072-1092

- Yujing Gong
- Internal Migration Decision and Rural Income Inequality: A Counterfactual-Based Gini Decomposition Analysis pp. 1093-1106

- Yue Hua and Zhujia Yin
- Does IFRS Adoption Increase the Accuracy of Chinese Analysts’ Forecasts? pp. 1107-1121

- Fangfei Ding, Wenting Luo, Xiaolin Hao and Lei Zhang
- Would Smog Lead to Outflow of Labor Force? Empirical Evidence from China pp. 1122-1134

- Ding Li, Yan Zhang and Shuang Ma
- Is Working Capital Information Useful for Financial Analysts? Evidence from China pp. 1135-1151

- Jie Gao and Jiancai Wang
- Carbon Cap-and-Trade in China: A Comprehensive Framework pp. 1152-1169

- Hongxun Liu and Zhi Li
- Latin American Cycles: Has Anything Changed After the Great Recession? pp. 1170-1183

- Maximo Camacho and Gonzalo Palmieri
- The Government Spending Multiplier in Turkey pp. 1184-1198

- Cem Çebi
- Dissecting the Effects of Terms of Trade Shocks on the Korean Economy pp. 1199-1216

- Jinho Choi, Joonyoung Hur and Manho Kang
- Corporate Credit Spreads and the Sovereign Ceiling in Latin America pp. 1217-1240

- Martin Grandes, Demian Panigo and Ricardo Aníbal Pasquini
2017, volume 53, articles 4
- Causes and Impacts of Foreign and Domestic Institutional Investors’ Herding in the Taiwan Stock Market pp. 727-745

- Hao Fang, Yang-Cheng Lu, Hwey-Yun Yau and Yen-Hsien Lee
- The Risk-Return Trade-Off in a Liberalized Emerging Stock Market: Evidence from Vietnam pp. 746-763

- Kuangnan Fang, Ji Wu and Cuong Nguyen
- Foreign Institutional Investors, Shareholding Change, and Corporate Governance pp. 764-775

- Yensen Ni, Yulu Liao and Paoyu Huang
- The Impact of Information Transparency on Information Transfer pp. 776-785

- Hui-Yu Yu, Chunghuey Huang, Yi-Hua Lin and Chun-Li Tsai
- Measurement of Banking Performance in a Dynamic Multiactivity Network Structure: Evidence from Banks in Taiwan pp. 786-805

- Chuang-Min Chao, Ming-Miin Yu, Yun-Ting Lee and Bo Hsiao
- Effects of Director and Officer Liability Insurance Coverage on Information Disclosure Quality and Corporate Fraud pp. 806-818

- Cheng-Hwai Liou, Jo-Lan Liu, Pu-Ming Jian and Ching-Chieh Tsai
- Do Enhanced Index Funds Truly Have Enhanced Performance? Evidence from the Chinese Market pp. 819-834

- Yin-Che Weng and Rui Wang
- Financial Reporting Quality and Idiosyncratic Return Volatility: Evidence from China pp. 835-847

- Ting Zhou, Jun Xie and Xiaolin Li
- An Empirical Study of CDS Premium on the Korean Sovereign Bond: Some Effect of the CTD Option pp. 848-864

- Keehwan Park and Sangki Lee
- Applying a Bootstrap Analysis to Evaluate the Performance of Chinese Mutual Funds pp. 865-876

- Long-Hui Chen and Hsin-Hung Chen
- Value Creation and Value Transfer of Leveraged Buyouts: A Review of Recent Developments and Challenges for Emerging Markets pp. 877-917

- Yao-Don Hung and Ming-Hone Tsai
- Effect of Crude Oil Futures Trading on Spot Market Volatility: A Panel Data–Based Counterfactual Prediction Analysis pp. 918-931

- Xin Yao and Qiang Liu
- Allocation of Cash Flows in Unionized Firms pp. 932-951

- Woo-Jong Lee, Seungbin Oh, Sang-Giun Yim and Kyunghwa Yu
- How Do Financing Conditions Impact Firm Behavior? Evidence from the Gulf Zone pp. 952-967

- Walid Mansour, Karima Saci and Saida Khalifa
- Can Territorial Tax Compliance Systems Reduce the Tax Avoidance of Firms with Operations in Tax Havens? pp. 968-985

- Namryoung Lee
- Theory and Practice on Lending Risk Control by the Government in the Song Dynasty pp. 986-1000

- Jianbo Zhou, Ruixin Wang, Jiantao Zhou and Yuheng Zhao
2017, volume 53, articles 3
- Investor Sentiment, Financial Report Quality and Stock Price Crash Risk: Role of Short-Sales Constraints pp. 493-510

- Yugang Yin and Rongfu Tian
- An Analysis of the Investment Concentration of Equity Mutual Funds in China pp. 511-520

- Hsin-Hung Chen and Long-Hui Chen
- Forecasting Chinese Stock Market Volatility With Economic Variables pp. 521-533

- Weixian Cai, Jian Chen, Jimin Hong and Fuwei Jiang
- Financial Development and Investment in Korea pp. 534-543

- Young-Jin Ro, In-Chul Kim and Jin Woong Kim
- Abnormal Dividend-Yield Returns and Investment Strategy pp. 544-553

- Chun-Fan You, Chin-Sheng Huang and Jiang-Chuan Huang
- Shopping for Accounting Accruals and Restatements pp. 554-562

- Wen-Ching Chang and Yahn-Shir Chen
- Realized Semivariances and the Variation of Signed Jumps in China’s Stock Market pp. 563-586

- Nengsheng Fang, Wen Jiang and Ronghua Luo
- Bond Covenants and the Cost of Debt: Evidence from China pp. 587-610

- Guangming Gong, Si Xu and Xun Gong
- Partial State Ownership, Political Connection, and Financing: Evidence from Chinese Publicly Listed Private Sector Enterprises pp. 611-628

- Zengji Song, Abraham Y. Nahm and Zongyi Zhang
- Luck Versus Skill: Can Chinese Funds Beat the Market? pp. 629-643

- Liuyong Yang and Weidi Liu
- Seasoned Equity Offerings or Capital Deductions? The Reaction of Stock Prices: Evidence from Taiwan pp. 644-660

- Suduan Chen
- An Investigation of the Cross-Strait Economic Integration and Dependence of Stock Markets pp. 661-669

- Ming Fang, Ming-Chieh Wang and Chiu-Lan Chang
- Reverse-Engineering and Real Options–Adjusted CAPM in the Taiwan Stock Market pp. 670-687

- Ching-Ping Wang, Hung-Hsi Huang and Jin-Sheng Hu
- The Effects of Foreign Strategic Investors on Bank Prudential Behavior: Evidence from China pp. 688-709

- Maoyong Cheng, Hongyan Geng, Yu Gao and Jerry W. Lin
- Incomplete Exchange Rate Pass-Through: Evidence from Exchange Rate Reform in China pp. 710-726

- Teng Zhang and Yunong Li
2017, volume 53, articles 2
- What Drives Financial Crises in Emerging Markets? pp. 227-228

- Ali Kutan and Marcello Signorelli
- The Impact of the Global Financial Crisis and the Role of External and Internal Factors in Emerging Economies pp. 229-249

- Silvia Dal Bianco, Chiara Amini and Marcello Signorelli
- If You’re Going Through Hell, Keep Going: Nonlinear Effects of Financial Liberalization in Transition Economies pp. 250-275

- Christopher Hartwell
- Lambs to Slaughter: Potential for Crises in Smaller Nations of the European Union pp. 276-288

- Ian A. Glew
- Which Net Capital Flows Matter? pp. 289-305

- Inbin Hwang, Deokjong Jeong, Hyungsoon Park and Sunyoung Park
- On the Latin American Credit Drivers pp. 306-320

- Paulo Rogério Faustino Matos
- Investment Decisions in Anticipation of Recessions and Outperformance of Pre-Acting Firms pp. 321-338

- Seungmin Chee, Soo Young Kwon and Ju Hyun Pyun
- The Impact of Single Stock Futures on Market Efficiency and Volatility: A Dynamic CAPM Approach pp. 339-356

- Imran Riaz Malik and Attaullah Shah
- Are There Any Diversification Benefits Among Global Finance Center Candidates in Eurasia? pp. 357-374

- Baris Kocaarslan, Ramazan Sarı and Ugur Soytas
- Financial History, Insurance Fraud, Armington Substitution Elasticity, and Aggregate Saving in China pp. 375-375

- Jinghai Zheng
- Shanxi Merchants’ Multilevel Financial System in Ming and Qing Dynasties, China pp. 376-386

- Jianbo Zhou, Yu Hao, Fujie Jin and Jiantao Zhou
- Measurement of the Severity of Opportunistic Fraud in Injury Insurance: Evidence from China pp. 387-399

- Jiantao Zhou, Shanshan Wang, Jianbo Zhou and Yanli Xu
- Do Imported Commodities Cause Inflation in China? An Armington Substitution Elasticity Analysis pp. 400-415

- Chongyu Wu, Jiantao Zhou, Hui Li, Zhongyi Liu and Xinyi Cai
- Income Distribution and Aggregate Saving: Theory and China’s Evidence pp. 416-439

- Yi Chen, Lu Kong, Rui Wang and Jiamin Hu
- Islamic Banking Sustainability: A Review of Literature and Directions for Future Research pp. 440-470

- Sirajo Aliyu, M. Kabir Hassan, Rosylin Mohd Yusof and Nasri Naiimi
- Underwriting Syndicates and the Cost of Debt: Evidence from Chinese Corporate Bonds pp. 471-491

- Shenggang Yang, Xun Gong and Si Xu
2017, volume 53, articles 1
- Is Monetary Cooperation Among the Four Regions Across the Taiwan Strait Feasible? pp. 1-11

- Jinyang Wang, Xiliang Liu, Xuelian Li and Xiang Deng
- Foreign Direct Investments and the Environmental Kuznets Curve: New Evidence from Chinese Provinces pp. 12-25

- Xiaoping He and Xin Yao
- Debt Tax Shields Around the OECD World pp. 26-43

- Augusto Castillo, Jorge Niño and Salvador Zurita
- Which Part of the Chinese Art Market Is More Worth Investing In? Applying the Quantile Regression to Analyze Chinese Oil Paintings 2000–2014 pp. 44-53

- Fang Wang
- Institutional Ownership Type and Earnings Quality: Evidence from Iran pp. 54-73

- Sasan Mehrani, Mohammad Moradi and Hoda Eskandar
- Not Every Kind of Outward FDI Increases Parent Firm Performance: The Case of New EU Member States pp. 74-97

- Joze Damijan, Crt Kostevc and Matija Rojec
- The Real Options Component and Market Value of Taiwan Technological Companies pp. 98-108

- Kuo-Jung Lee
- Additional Credit for Liquidity-Constrained Individuals: High-Interest Consumer Credit in Korea pp. 109-127

- Jung-Wook Kim, Seungyeon Won and Jung-In Kim
- Search Frictions, Financial Frictions, and Labor Market Fluctuations in Emerging Markets pp. 128-149

- Sumru Altug and Serdar Kabaca
- International Competitiveness of Small and Medium-Sized Enterprises: Peru, a Latin-American Emerging Market pp. 150-169

- Jesus Vinces, Lourdes Casanova, Jorge Guillén and David Urbano
- Derivatives Usage in Emerging Markets Following the GFC: Evidence from the GCC Countries pp. 170-179

- Hassan Tanha and Michael Dempsey
- Risk-Taking Behavior and Capital Adequacy in a Mixed Banking System: New Evidence from Malaysia Using Dynamic OLS and Two-Step Dynamic System GMM Estimators pp. 180-198

- Hishamuddin Abdul Wahab, Buerhan Saiti, Saiful Azhar Rosly and Abul Masih
- An Empirical Investigation of Eastern European Bond Markets pp. 199-212

- Jinghua Wang and John Bilson
- Feedback Trading and Autocorrelation Patterns in Sub-Saharan African Equity Markets pp. 213-225

- Saint Kuttu and Godfred A. Bokpin
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On this page- 2017, volume 53
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Articles 12
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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
2016, volume 52
2015, volume 51
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- 2017, volume 53
-
Articles 12
Articles 11 Articles 10 Articles 9 Articles 8 Articles 7 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
2016, volume 52
2015, volume 51
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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