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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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2016, volume 52, articles 12
- Neoclassical and Behavioral Finance: A Synergy of Approaches in Current Debates and in Contemporary Financial Research pp. 2685-2686

- Jerzy Gajdka and Janusz Brzeszczynski
- Pricing Sovereign Credit Risk of Poland: Evidence from the CDS Market pp. 2687-2705

- Gonzalo Camba-Mendez, Konrad Kostrzewa, Anna Marszal and Dobromił Serwa
- An Exchange Rate Model with Market Pressures and a Contagion Effect pp. 2706-2720

- Wojciech Grabowski and Aleksander Welfe
- Is the Abnormal Post-IPO Underperformance Really Abnormal? The Evidence from CEE Emerging Markets pp. 2721-2739

- Adam Zaremba and Adam Szyszka
- Liquidity Dynamics Around Jumps: The Evidence from the Warsaw Stock Exchange pp. 2740-2755

- Barbara Będowska-Sójka
- Technical Analysis as a Rational Tool of Decision Making for Professional Traders pp. 2756-2771

- Elżbieta Kubińska, Marcin Czupryna, Łukasz Markiewicz and Jan Czekaj
- How Do Investment, Fundamentals, and Stock Prices Relate Around the World? pp. 2772-2789

- Matias Braun
- Global Liquidity and Financial Stress: Evidence from Major Emerging Economies pp. 2790-2807

- Emrah Çevik, Nuket Kirci-Cevik and Selahattin Dibooglu
- Motives for and Effects of Asset Revaluation: An Examination of South Korean Data pp. 2808-2817

- H. Young Baek and Dong Young Lee
- Regional Energy Efficiency of China’s Commercial Sector: An Emerging Energy Consumer pp. 2818-2836

- Boqiang Lin and Ailun Wang
- Has Petroleum Pricing Reform in China Achieved Its Objective? An Empirical Study pp. 2837-2845

- Boqiang Lin and Qingying Zheng
- Editorial Board EOV pp. ebi-ebi

- The Editors
2016, volume 52, articles 11
- Challenges and Opportunities in Emerging Financial Markets pp. 2451-2453

- Jangkoo Kang and Chang-Hyun Yun
- Cross-Border M&As Involving an Emerging Market pp. 2454-2472

- Byoung-jin Kim and Jin-young Jung
- Net Equity and Debt Flows to Emerging Market and Developing Economies in the Post-Crisis Era pp. 2473-2494

- Ju Hyun Pyun
- Day Trader Behavior and Performance: Evidence from Taiwan Futures Market pp. 2495-2511

- Teng Yuan Cheng, Chao Hsien Lin, Hungchih Li, Syouching Lai and Kerry A. Watkins
- Determinants of Saving-Borrowing Decisions and Financial Inclusion in a High Middle Income Country: The Turkish Case pp. 2512-2529

- Nurhan Davutyan and Belma Öztürkkal
- Manager Retention and Post-Bankruptcy Performance: Evidence from South Korea pp. 2530-2545

- Byungjin Kwak, Kyoungwon Mo and Nayoung Yoon
- How Efficient Is China’s Heavy Industry? A Perspective of Input–Output Analysis pp. 2546-2564

- Boqiang Lin and Kui Liu
- Does Greater Market Transparency Reduce Information Asymmetry? pp. 2565-2584

- Yaling Lin
- Privatization and Fiscal Deficits in European Emerging Markets pp. 2585-2594

- John Ord, David A. Walker and Christina R. Hunt
- Identification of Asset Price Misalignments on Financial Markets With Extreme Value Theory pp. 2595-2609

- Narcisa Kadlcakova, Lubos Komarek, Zlatuse Komarkova and Michal Hlaváček
- The Role of Ownership Concentration and Debt in Downturns: Evidence from Brazilian Firms During the 2008–9 Financial Crisis pp. 2610-2623

- Claudio M. P. da Cunha and Patricia M. Bortolon
- Exchange Rate Pass-Through in an Emerging Market: The Case of the Czech Republic pp. 2624-2635

- Jan Hajek and Roman Horvath
- Trade Liberalization and Exports Promotion: A Dynamic and Heterogeneous Analysis Under the Case of Chile pp. 2636-2645

- Ruohan Wu and Huimin Shi
- Export Behavior of the Turkish Manufacturing Firms pp. 2646-2668

- Aslihan Atabek Demi̇rhan
- Does Public E-Procurement Deliver What It Promises? Empirical Evidence from Turkey pp. 2669-2684

- Esra Ceviker Gurakar and Bedri Tas
2016, volume 52, articles 10
- Global Financial Stability and Regional Financial Arrangements pp. 2209-2211

- Wook Sohn and Jeong-ae Choi
- Strengthening the Global Financial Safety Net: Challenges and Prospects pp. 2212-2220

- Choongsoo Kim
- Toward the Development of a Global Financial Safety Net or a Segmentation of the Global Financial Architecture? pp. 2221-2237

- Ulrich Volz
- Regional Financial Arrangements: A Survey of the Literature and Recent Developments pp. 2238-2252

- Wook Sohn and Woo Jin Chung
- Central Bank Currency Swaps and the International Monetary System pp. 2253-2266

- Christophe Destais
- Countercyclical Bank Capital Requirement and Optimized Monetary Policy Rules pp. 2267-2291

- Carlos de Resende, Ali Dib, René Lalonde and Nikita Perevalov
- Government Stakes as an Insurance Policy: Evidence from Seasoned Equity Offerings of Chinese Firms pp. 2292-2308

- Dongmin Kong and Maobin Wang
- Corporate Governance and Mergers and Acquisitions Performance in Banks: Evidence under the Special Regulatory Environment in Taiwan pp. 2309-2320

- Chien-Chi Chu, Ying-Maw Teng and Hsiu-Ling Lee
- Bitcoin as a Complement to Emerging Market Currencies pp. 2321-2334

- Jon Carrick
- Which Traders Contribute Most to Price Discovery? Evidence from the KOSPI 200 Options Market pp. 2335-2347

- Hankil Kang, Jangkoo Kang and Soonhee Lee
- A New Perspective on the International Evidence Concerning the Book-Price Effect pp. 2348-2363

- James Foye and Dušan Mramor
- Getting Attention Through Corporate Philanthropy pp. 2364-2378

- Yunhao Dai and Dongmin Kong
- Jump Tail Dependence in the Chinese Stock Market pp. 2379-2396

- Sophia Zhengzi Li, Hao Wang and Hua Zhao
- Demographic Dividends in the ‘South’, Ageing ‘North’, and ‘South-South’ Trade Diversification pp. 2397-2413

- Patrick Georges and Aylin Seckin
- Shareholder Protection, Ownership, and Dividends: Russian Evidence pp. 2414-2433

- Eva Liljeblom and Benjamin Maury
- Performance of Moving Average Trading Rules in a Volatile Stock Market: The Russian Evidence pp. 2434-2450

- Pasi Luukka, Eero Pätäri, Elena Fedorova and Tatiana Garanina
2016, volume 52, articles 9
- Financial Reforms and Performance in Emerging Market Economies: An Introduction pp. 1967-1969

- Chengsi Zhang
- Monetary Policy Rules in an Open Economy with Heuristics: Which Model Is Best? pp. 1970-1984

- Kuo-chun Yeh
- Money Market Reform in Korea and Its Effects on the Overnight Call–Repurchase Agreement Rate pp. 1985-2000

- Hyunduk Suh
- Corporate Governance Reform, Board Structure, and Its Determinants in the Banking Industry—Evidence from Taiwan pp. 2001-2017

- Kun-Li Lin and Yuan Chang
- Effect of Foreign Shareholdings and Originating Countries on Banking Sector Efficiency pp. 2018-2042

- Sok-Gee Chan, Eric H. Y. Koh and Yong-Cheol Kim
- What Drives the Relationship Between Financial Flexibility and Firm Performance: Investment Scale or Investment Efficiency? Evidence from China pp. 2043-2055

- Chun-Ai Ma and Yanbo Jin
- Risk-Adjusted Performance of Mutual Funds: Evidence from China pp. 2056-2068

- Jianhua Gang and Zongxin Qian
- An Investigation of Global and Regional Integration of ASEAN Economic Community Stock Market: Dynamic Risk Decomposition Approach pp. 2069-2086

- Geesun Lee and Jinho Jeong
- Financial Crisis, Politically Connected CEOs, and the Performance of State-Owned Enterprises: Evidence from Korea pp. 2087-2099

- Seungwon Yu and Namryoung Lee
- Auditor Quality, IFRS Adoption, and Stock Price Crash Risk: Korean Evidence pp. 2100-2114

- Hyunil Lim, Sang Koo Kang and Haksoon Kim
- Openness and Financial Development in China: The Political Economy of Financial Resources Distribution pp. 2115-2127

- Yu Luo, Chengsi Zhang and Yueteng Zhu
- Consistent Analyst Expectation Error and Earnings Management: Evidence from China pp. 2128-2148

- Zhengyi Zhou and Chongfeng Wu
- The Relationship Between Energy Commodity Prices and Electricity and Market Index Performances: Evidence from an Emerging Market pp. 2149-2164

- Beyza Mina Ordu and Ugur Soytas
- The Responsiveness of Corporate Investments to Changes in Corporate Income Taxation During the Financial Crisis: Empirical Evidence from Slovenian Firms pp. 2165-2177

- Matjaž Črnigoj
- Minimum Wage in Poland and Youth Employment in Regional Labor Markets pp. 2178-2194

- Aleksandra Majchrowska, Paulina Broniatowska and Zbigniew Żółkiewski
- Beta Asymmetry in the Global Stock Markets Following the Subprime Mortgage Crisis pp. 2195-2207

- Yung-Shi Liau
2016, volume 52, articles 8
- Understanding China from a Household’s Perspective: Studies Based on the China Household Finance Survey (CHFS) pp. 1725-1727

- Dayong Zhang
- Social Capital and Housing Affordability: Evidence from China pp. 1728-1743

- Daichun Yi, Yuhong Huang and Gang-Zhi Fan
- Land Acquisition, Labor Allocation, and Income Growth of Farm Households pp. 1744-1761

- Qingjiang Ju, Jinlan Ni, Debing Ni and Yu Wu
- Migrate to Skilled Cities: Human Capital Agglomeration and Urban-to-Urban Migration in China pp. 1762-1774

- Jingjing Ye, Xiaokai Wu and Jijun Tan
- Investigating the Impact of Income on Savings Using a Chinese Household Level Dataset pp. 1775-1796

- Dejing Kong and David Dickinson
- Capital Flows, Sterilization, and Macro-Prudential Policy in China pp. 1797-1812

- Shuiqing Yang
- Long-Run Performance Persistence of Investment Funds pp. 1813-1831

- Stanisław Urbański, Maciej Winiarz and Kacper Urbański
- Testing the Conventional and Islamic Financial Market Contagion: Evidence from Wavelet Analysis pp. 1832-1849

- Buerhan Saiti, Obiyathulla Bacha and Abul Masih
- Bankers in the Boardroom and Firm Performance in China pp. 1850-1875

- Qing He, Oliver Rui and Chenqi Zhu
- Do Political Connections Affect Firm Performance? Evidence from a Developing Country pp. 1876-1891

- Abubakr Saeed, Yacine Belghitar and Ephraim Clark
- Profitability in Banks Affiliated to a Business Group: Evidence from Mexico pp. 1892-1909

- Rubén Chavarín
- The Effectiveness of Fiscal Policy Over the Business Cycle: A CEE Perspective pp. 1910-1921

- Pawel Baranowski, Piotr Krajewski, Michal Mackiewicz and Agata Szymanska
- The Effect of Chinese Demand and Supply Shocks on Peruvian Exporters pp. 1922-1934

- Jean Paul Rabanal and Olga A. Rabanal
- Out-of-Sample Equity Premium Predictability in South Africa: Evidence from a Large Number of Predictors pp. 1935-1955

- Rangan Gupta, Mampho P. Modise and Josine Uwilingiye
- Ultimate Ownership and Adjustment Speed Toward Target Capital Structures: Evidence from China pp. 1956-1965

- Ting Zhou and Jun Xie
2016, volume 52, articles 7
- Economics and Finance in Emerging Markets pp. 1513-1514

- Gábor Bóta, Mihály Ormos and Imre Tarafás
- Social Transfers and Labor Force Participation Relation in Turkey: A Bivariate Probit Analysis pp. 1515-1527

- Julide Yildirim and Sureyya Dal
- Predictability of Term Spread for Economic Activity with Liquidity Premium Theory pp. 1528-1541

- Sunju Hwang and Hahn Lee
- The Role of Bank and Corporate Balance Sheets on Early Warning Systems of Currency Crises—An Empirical Study pp. 1542-1561

- Christian Mulder, Roberto Perrelli and Manuel Duarte Rocha
- How Should Slovenia Design Fiscal Policies in the Government Debt Crisis? pp. 1562-1573

- Dmitri Blueschke, Klaus Weyerstrass and Reinhard Neck
- The Impact of Foreign Banks on Monetary Policy Transmission During the Global Financial Crisis of 2008–2009: Evidence from Korea pp. 1574-1586

- Ji Wu, Hosung Lim and Bang Jeon
- A Market Efficiency Comparison of Islamic and Non-Islamic Stock Indices pp. 1587-1605

- Osamah M. Al-Khazali, Guillaume Leduc and Mohammad Saleh Alsayed
- An Open Economy DSGE Model with Search-and-Matching Frictions: The Case of Hungary pp. 1606-1626

- Zoltán Jakab and István Kónya
- Predictability of Emerging Market Local Currency Bond Risk Premia pp. 1627-1646

- Vedat Akgiray, Sayad Baronyan, Emrah Sener and Osman Yılmaz
- Quantitative Analysis of Foreign Trade and Environmental Efficiency in China pp. 1647-1660

- Malin Song and Yuanxiang Zhou
- The Impact of Bank Credit on Employment Formality: Evidence from Uruguay pp. 1661-1678

- Nestor Gandelman and Alejandro Rasteletti
- Fiscal Decentralization, Budgetary Transparency, and Local Government Size in China pp. 1679-1697

- Shujian Zhang
- Modeling Time-Varying Correlations in Volatility Between BRICS and Commodity Markets pp. 1698-1723

- Sang Hoon Kang, Ron McIver and Seong-Min Yoon
2016, volume 52, articles 6
- Sustainable Energy Policy in China: Economic Issues and Policy Challenges pp. 1279-1280

- Jiahai Yuan
- Trade Liberalization and China’s Exports of Renewable Energy Products: Evidence from Product Level Data pp. 1281-1297

- Yong Zhao, Lili Wang and Yihua Yu
- Nexus Between Energy Consumption and Economic Growth in China: From the Perspective of Embodied Energy Imports and Exports pp. 1298-1304

- Xu Tang, Hongmei Deng, Baosheng Zhang, Simon Snowden and Mikael Höök
- Does FDI Increase Industrial Energy Consumption of China? Based on the Empirical Analysis of Chinese Provinces Industrial Panel Data pp. 1305-1314

- Kai Li and Shaozhou Qi
- A Panel Data Analysis of the Relationship Between Air Pollutant Emissions, Economics, and Industrial Structure of China pp. 1315-1324

- Xiaopeng Guo and Xiaodan Guo
- The Resource Curse and Its Transmission Channels: An Empirical Investigation of Chinese Cities’ Panel Data pp. 1325-1334

- Jin Guo, Xinye Zheng and Feng Song
- Regional Transfer of Haze Pollutants Embodied in China’s Foreign Trade and Factors Affecting It: A GMRIO-Based Empirical Analysis pp. 1335-1347

- Rui Xie, Guomei Zhao, Bangzhu Zhu and Mingyong Lai
- Agent-Based Modeling of Global Carbon Trading and Its Policy Implications for China in the Post-Kyoto Era pp. 1348-1360

- Qianting Zhu, Keran Duan, Jing Wu and Zheng Wang
- Carbon Markets in China: Development and Challenges pp. 1361-1371

- Dong Sun, Jingqi Sun, Xingping Zhang, Qingyou Yan, Qianru Wei and Yun Zhou
- A CGE Analysis of the Impacts of a Carbon Tax on Provincial Economy in China pp. 1372-1384

- Xingping Zhang, Zhengquan Guo, Yuhua Zheng, Jinchen Zhu and Jing Yang
- The Emission Taxes Refunding Scheme Based on Output Subsidies with an Exogenous Abatement Target pp. 1385-1394

- Changsheng Li, Ying Fan and Lei Zhu
- Energy-Efficiency Policies and Energy Productivity Improvements: Evidence from China’s Manufacturing Industry pp. 1395-1404

- Mian Yang and Fuxia Yang
- Total Factor Productivity and Energy Intensity: An Empirical Study of China’s Cement Industry pp. 1405-1413

- Hui Hu, Xiang Li, Fuxia Yang and Jesmin Islam
- A Benefit Analysis of Electric Vehicle Battery Swapping and Leasing Modes in China pp. 1414-1426

- Xingping Zhang and Rao Rao
- Feed-In Tariff for Onshore Wind Power in China pp. 1427-1437

- Jiahai Yuan, Chunning Na, Yan Xu and Changhong Zhao
- Macro Liquidity Risk, Money Growth, and the Cross-Section of Stock Returns: The Case of Korea pp. 1438-1454

- Hosung Jung and Dongcheol Kim
- Determinants of Operational Efficiency and Total Factor Productivity Change of Major Cambodian Financial Institutions: A Data Envelopment Analysis During 2006–13 pp. 1455-1471

- Hidenobu Okuda and Daiju Aiba
- Estimating the Model for Seasoned Equity Offering Underpricing: Application to the Chinese Financial Market pp. 1472-1480

- Chune Young Chung and Chang Liu
- The Construction and Application of a New Exchange Rate Forecast Model Combining ARIMA with a Chaotic BP Algorithm pp. 1481-1495

- Ma Yonghong, Wu Zhiyong, Ai Mingye and Wang Wei
- The Effectiveness of Regulation Fair Disclosure: Evidence from an Emerging Market pp. 1496-1511

- Hoshik Shim, Hyungjin Cho and Woo-Jong Lee
2016, volume 52, articles 5
- Institutional Quality, Trade Openness, and Financial Sector Development in Asia: An Empirical Investigation pp. 1047-1059

- Thai-Ha Le, Jungsuk Kim and Minsoo Lee
- Taper Tantrum and Emerging Equity Market Slumps pp. 1060-1071

- Gemma B. Estrada, Donghyun Park and Arief Ramayandi
- Value-at-Risk Forecasting of Chinese Stock Index and Index Future Under Jumps, Permanent Component, and Asymmetric Information pp. 1072-1091

- Shaoyu Li, Lijia Wei and Zehua Huang
- The Three-Factor Model and Size and Value Premiums in China’s Stock Market pp. 1092-1105

- Shiqing Xie and Qiuying Qu
- The Recent Convergence of Financial Development in Asia pp. 1106-1120

- Robert Dekle and Madhavi Pundit
- Effect of the Sovereign Credit Ratings in East Asia Countries: Evidence from Panel Vector Autoregression pp. 1121-1144

- Sammo Kang and Sejin Min
- Does Financial Openness Matter in the Relationship Between Financial Development and Income Distribution in Latin America? pp. 1145-1155

- Jorge Guillén
- Rural Homeowners’ Willingness to Buy Flood Insurance pp. 1156-1166

- Jin Ren and H. Holly Wang
- Local Currency Bond Market Development in Sub-Saharan Africa: A Stock-Taking Exercise and Analysis of Key Drivers pp. 1167-1194

- Dennis Essers, Hans Blommestein, Danny Cassimon and Perla Ibarlucea Flores
- Sources of Fluctuations in Islamic, U.S., EU, and Asia Equity Markets: The Roles of Economic Uncertainty, Interest Rates, and Stock Indexes pp. 1195-1209

- Shawkat Hammoudeh, Won Joong Kim and Soodabeh Sarafrazi
- What Influences Stock Market Behavior in Russia and Other Emerging Countries? pp. 1210-1225

- Iikka Korhonen and Anatoly Peresetsky
- Monetary Policy Stress in EMU: What Role for Fundamentals and Missed Forecasts? pp. 1226-1240

- Pawel Gajewski
- On International Consumption Risk Sharing, Financial Integration and Financial Development pp. 1241-1258

- Yasin Mimir
- Ownership, Internal Capital Market, and Financing Costs pp. 1259-1278

- Wenhao Tan and Zhenpeng Ma
2016, volume 52, articles 4
- Corporate Financial Decisions, Capital Markets, and Employment in Asia-Pacific Economies pp. 775-775

- Shuh-Chyi Doong, Sheng-Yung Yang and Min-Teh Yu
- The Optimal Timing of Open Market Stock Repurchases pp. 776-785

- Chih-Chen Hsu and Andreas Krause
- Jump-Dependent Model for Optimal Index Futures Hedging in Five Major Asian Stock Markets pp. 786-796

- Yi-Hao Lai and Yi-Chiuan Wang
- The Effect of the Alternation in the Ruling Party on Three-Factor Risks and Returns in ETF: The Case of Presidential Elections in Taiwan pp. 797-811

- Chia-Pin Chen, Ying-Sing Liu and Chih-Wen Hsu
- Advertising and Investor Recognition of Banking Firms: Evidence from Taiwan pp. 812-824

- Tsai-Ling Liao, Hao-Chang Sung and Min-Teh Yu
- Managers’ Escalation Behavior in Equity Investment Decisions and the Role of Corporate Governance pp. 825-842

- Chih-Jen Huang, Amy Yueh-Fang Ho, Hsin-Yu Liang and Chun-Hung Chiang
- The Impact of Position Difference on Employees’ Organizational Commitment After the Merger of Life Insurance Companies pp. 843-852

- Chiehwei Hung and Jungpin Wu
- Employability and Wage Compensation in an Asian Economy: Evidence for Female College Graduates in Taiwan pp. 853-868

- Shih-Yung Chiu and Hwei-Lin Chuang
- Deregulation, Pricing Strategies, and Claim Behavior in the Taiwan Automobile Insurance Market pp. 869-885

- Sheng-Chang Peng, Chu-Shiu Li and Chwen-Chi Liu
- Capital Flows During Quantitative Easing: Experiences of Developing Countries pp. 886-903

- Donghyun Park, Arief Ramayand and Kwanho Shin
- Absorptive Capabilities, FDI, and Economic Growth in Transition Economies pp. 904-922

- Sabina Silajdzic and Eldin Mehic
- Effectiveness of Macroprudential Policies in Developing Asia: An Empirical Analysis pp. 923-937

- Minsoo Lee, Ruben Carlo Asuncion and Jungsuk Kim
- Does Faith Matter in Mutual Funds Investing? Evidence from Saudi Arabia pp. 938-960

- Hesham Merdad, M. Kabir Hassan and Mohsin Khawaja
- Competition, Financial Intermediation, and Riskiness of Banks: Evidence from the Asia-Pacific Region pp. 961-974

- Wahyoe Soedarmono and Amine Tarazi
- Banking Market Size Structure and Financial Stability: Evidence from Eight Asian Countries pp. 975-990

- Hakkon Kim, Kwangwoo Park and Sangjin Song
- Financial Development, Interest Rate Liberalization, and Macroeconomic Volatility pp. 991-1001

- Gongyan Yang and Hongzhong Liu
- Institutional Investor Trading in a Short Investment Horizon: Evidence from the Korean Stock Market pp. 1002-1012

- Chune Young Chung, Chang Liu and Kainan Wang
- The Impact of IFRS Adoption and Corporate Governance Principles on Transparency and Disclosure: The Case of Borsa Istanbul pp. 1013-1028

- Mine Aksu and Hassan Espahbodi
- Price Rigidity in Turkey: Evidence from Micro Data pp. 1029-1045

- Utku Ozmen and Orhun Sevinc
2016, volume 52, articles 3
- Financial Integration in Asset and Liability Holdings in East Asia pp. 539-556

- Donghyun Park and Kwanho Shin
- The Impact of Economic Shocks in the Rest of the World on South Africa: Evidence from a Global VAR pp. 557-573

- Annari De Waal and Renee van Eyden
- Comovement of Exchange Rates: A Wavelet Analysis pp. 574-588

- Alin Marius Andrieş, Iulian Ihnatov and Aviral Tiwari
- An Empirical Analysis of the Risk-Taking Channel of Monetary Policy in Turkey pp. 589-609

- Ekin Ayşe Özşuca and Elif Akbostancı
- Technical Efficiency Measurement Incorporating Risk Preferences: An Empirical Analysis of Chinese Commercial Banks pp. 610-624

- Ning Zhu, Bing Wang, Zhiqian Yu and Yanrui Wu
- Globalization and Changing Inflation Dynamics in China pp. 625-638

- Chengsi Zhang and Huidong He
- Volatility Modeling and Value-at-Risk (VaR) Forecasting of Emerging Stock Markets in the Presence of Long Memory, Asymmetry, and Skewed Heavy Tails pp. 639-657

- Hatice Gaye Gencer and Sercan Demiralay
- The Relationship Between Sovereign Spreads and International Reserves: Does the Exchange Rate Regime Matter? pp. 658-673

- Inci Gumus
- The Causal Relationship Between Economic Policy Uncertainty and Stock Returns in China and India: Evidence from a Bootstrap Rolling Window Approach pp. 674-689

- Xiao-lin Li, Mehmet Balcilar, Rangan Gupta and Tsangyao Chang
- Does Fiscal Decentralization Promote Fiscal Discipline? pp. 690-705

- Zafer Akin, Zeynep B. Bulut-Cevik and Bilin Neyapti
- Risk-Adjusted Performances of World Equity Indices pp. 706-721

- Yigit Atilgan and K. Ozgur Demirtas
- Revisiting the Roles of Financial Access and Deepening for Growth and Reducing Inequality pp. 722-723

- Takeshi Inoue, Takuji Kinkyo and Shigeyuki Hamori
- Financial Intermediation and Economic Growth in China: New Evidence from Panel Data pp. 724-732

- Haifeng Xu
- Financial Development and Income Inequality: Long-Run Relationship and Short-Run Heterogeneity pp. 733-742

- Wang Chen and Takuji Kinkyo
- Financial Access and Economic Growth: Evidence from Sub-Saharan Africa pp. 743-753

- Takeshi Inoue and Shigeyuki Hamori
- Financial Development, Labor Participation, and Employment in Urban China pp. 754-764

- Guifu Chen and Sizhuo Chen
- Do Workers’ Remittances Promote Access to Finance? Evidence from Asia-Pacific Developing Countries pp. 765-774

- Takeshi Inoue and Shigeyuki Hamori
2016, volume 52, articles 2
- From Financial Repression to External Distress: The Case of Venezuela pp. 255-284

- Carmen Reinhart and Miguel Santos
- Bank Ownership and Lending: Does Bank Ownership Matter? pp. 285-301

- Laivi Laidroo
- Total Factor Productivity, Foreign Direct Investment, and Entry Barriers in the Chinese Automotive Industry pp. 302-321

- Firat Demir and Li Su
- Effects of Private Ownership, Trade, and Foreign Direct Investment on Labor Productivity Growth in Transition Economies: Evidence from the Croatian Manufacturing Industry pp. 322-335

- Goran Vukšić
- Turkey’s Distressing Dance With Capital Flows pp. 336-350

- Fatih Ozatay
- Hot Money and Business Cycle Volatility: Evidence from Selected ASEAN Countries pp. 351-363

- Lu Yang and Shigeyuki Hamori
- Prolonged Reserves Accumulation, Credit Booms, Asset Prices and Monetary Policy in Asia pp. 364-381

- Andrew Filardo and Pierre Siklos
- Correlation Dynamics in East Asian Financial Markets pp. 382-399

- Lestano Lestano and Gerard Kuper
- Corruption Distance and Foreign Direct Investment pp. 400-419

- Xingwang Qian and Jesus Sandoval-Hernandez
- Determination of Renminbi Equilibrium Exchange Rate, Misalignment, and Official Intervention pp. 420-433

- Liu Hai Yue, Jiang Qiang and Tang Ying Kai
- The Dynamic Speed of Cash-Holding Adjustment in a Transition Economy: A New Approach and Evidence pp. 434-448

- Liang Chang, Kebin Deng and Xuan Wang
- Medical Insurance Effects on Household Durable Goods Consumption: Evidence from China pp. 449-460

- Weixian Cai, Jian Chen and Hui Ding
- Leverage, Consumer Finance, and Housing Prices in China pp. 461-474

- Ye Guo, Wenbin Xu and Zhiyuan Zhang
- Systemic Risk in the Chinese Shadow Banking System: A Sector-Level Perspective pp. 475-486

- Guangning Tian, Jianjun Li, Ying Xue and Sara Hsu
- Bank Loan Supply in the Financial Crisis: Evidence from the Role of Political Connection pp. 487-497

- Wei-Che Tsai, Wei-Yuan Wang, Po-Hsin Ho and Chih-Yung Lin
- A Study on the Effect of Financial Inclusion on the Relationship Between Income Inequality and Economic Growth pp. 498-512

- Jong-Hee Kim
- The Finance–Growth Nexus and Poverty Reduction in Western China pp. 513-521

- Yanping Huang, Yu Liu and Huakun Wu
- Twin Booms: The Lead–Lag Relation Between Credit and Housing Booms pp. 522-537

- Chung-Hua Shen, Lin Bu, Kun-Li Lin and Meng-Wen Wu
2016, volume 52, articles 1
- Volatility Linkages Among Gold Futures in Emerging Markets pp. 1-9

- Hasan F. Baklaci, Ömür Süer and Tezer Yelkenci
- Regime-Dependent Determinants of China’s Sovereign Credit Default Swap Spread pp. 10-21

- Zongxin Qian and Qian Luo
- Revisiting Border Effect: Evidence from Taobao.com in China pp. 22-38

- Qin Li, Mingzhi Li and Jinfeng Luo
- Debt Financing and Voluntary Adoption of the International Financial Reporting Standards: Evidence from Korean Unlisted Firms pp. 39-51

- Woon-Oh Jung, Sung Ook Park and Heesun Chung
- Capital Asset Pricing Model and Stochastic Volatility: A Case Study of India pp. 52-65

- Ender Demir, Ka Wai Terence Fung and Zhou Lu
- FINANDEBT International Conference 2014: “Debt Crises and Financial Stability: Global Issues and Euro-Mediterranean Perspectives” pp. 66-69

- Philippe Gilles
- Relationship and Transaction Lending: New Evidence and Perspectives pp. 70-75

- Leonardo Gambacorta
- Unconventional Monetary Policy in the Eurozone: A Lack of Forward Guidance? pp. 76-97

- Cécile Bastidon, Nicolas Huchet and Yusuf Kocoglu
- Macroeconomic Drivers of Loan Quality in Turkey pp. 98-109

- Ahmet Aysan, Huseyin Ozturk, Ali Yavuz Polat and Burak Saltoğlu
- Beyond the Optimistic Curse: A New Multiscenario Approach to Debt Sustainability Assessment pp. 110-122

- Bassem Kamar and Damyana Bakardzhieva
- The Twin Crises: Determinants of Banking and Currency Crises in the Turkish Economy pp. 123-135

- Ali Ari and Raif Cergibozan
- Market Valuation Effect of Foreign Asset Divestitures in an Emerging Economy: Korean Evidence pp. 136-153

- Hyunchul Lee and Kyung-In Park
- Inflation in New EU Member States: A Domestically or Externally Driven Phenomenon? pp. 154-168

- Tomislav Globan, Vladimir Arčabić and Petar Sorić
- Financial Openness, Financial Frictions, and Macroeconomic Fluctuations in Emerging Market Economies pp. 169-187

- Yong Ma
- Measuring Takeover Premiums in Cross-Border Mergers and Acquisitions: Insights from Turkey pp. 188-203

- Hasan Burak Arslan and Serif Aziz Simsir
- Financial Policy in Practice: Benchmarking Financial Sector Strategies Around the World pp. 204-222

- Samuel Munzele Maimbo and Martin Melecký
- Financial System Development and Economic Growth in Transition Economies: New Empirical Evidence from the CEE and CIS Countries pp. 223-236

- Laura Cojocaru, Evangelos Falaris, Saul Hoffman and Jeffrey Miller
- The Systemic Risk of Cross-Border Banking: Evidence from the Sudden Stop and Interbank Stress Contagion in East Asia pp. 237-254

- Chau Le and David G. Dickinson
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On this page- 2016, volume 52
-
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
2017, volume 53
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
|
On this page- 2016, volume 52
-
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
2017, volume 53
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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