Journal of Emerging Market Finance
2002 - 2025
From Institute for Financial Management and Research Bibliographic data for series maintained by SAGE Publications (). Access Statistics for this journal.
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Volume 24, issue 1, 2025
- Monetary Policy Reaction to COVID-19 and Their Economic Impact in Central America and the Dominican Republic pp. 7-36

- Jesús López Cabrera, Enrique González Mata and Juan Quiñonez Wu
- Funding Liquidity and Risk-Taking Behavior of Banks in India pp. 37-62

- Silu Muduli and Shridhar Kumar Dash
- Tax-avoidance Effect on Investment Inefficiency: An Examination of Agency Theory pp. 63-86

- T. K. Ajmal, Vinod Kumar and Balasubramanian G.
- ESG Disclosure and Cost of Equity: Do Big 4 Audit Firms Matter? pp. 87-108

- Nidhin Mathath, Vinod Kumar and G. Balasubramanian
- Underwriter Reputation, Retail Demand, and Performance of Newly Public Small and Medium Enterprises pp. 109-133

- M A Aneesha, A Athira and P J Jijo Lukose
Volume 23, issue 4, 2024
- Did Precious Metals Serve as Hedge and Safe-haven Alternatives to Equity During the COVID-19 Pandemic: New Insights Using a Copula-based Approach pp. 399-423

- Ameet Kumar Banerjee and Pradhan Hk
- Informativeness of Announcement Returns in Cross-border Acquisition Completion: A Perspective from Emerging Economies pp. 424-449

- Sugandh Ahuja, Shveta Singh and Surendra Singh Yadav
- Carbon Emissions Pricing: Linkages Between EU ETS Spot and Future Prices and Completeness of EU ETS Market pp. 450-470

- Saikat Mondal, Rudra P. Pradhan, Vinodh Madhavan, Debaleena Chatterjee and Ann Mary Varghese
- The Story of De- dollarization and Internationalization of the Chinese Renminbi pp. 471-494

- Nilanjan Banik and Khanindra Ch. Das
- A Study on the Hedging and Safe-Haven Features of Non-fungible Tokens Segments pp. 495-502

- Emiliya James, Parthajit Kayal, Moinak Maiti and G. Balasubramanian
Volume 23, issue 3, 2024
- The Increasing Trend in Effective Tax Rates in India: Role of Macroeconomic Factors, Tax Policy Changes and Firm Characteristics pp. 279-305

- A. Athira and P. J. Jijo Lukose
- Time-varying Connectedness Between ESG Stocks and BRVM Traditional Stocks pp. 306-335

- Zynobia Barson, Kwame Simpe Ofori, Peterson Owusu Junior, Kwabena G. Boakye and George Oppong Appiagyei Ampong
- Managerial Compensation, R&D Investment, and Operating Efficiency in Taiwanese Listed Companies: The Moderating Effects of Firm Size and Corporate Risk pp. 336-359

- Hui-Tzu Lee, Lieh-Ming Luo and Chia-Chou Chiu
- Navigating the Financing Constraints: The Role of Social Capital in Developing Countries pp. 360-386

- Imad Jabbouri, Omar Farooq, Maryem Naili and Issa Helmi
Volume 23, issue 2, 2024
- IFRS and ESG Disclosure in Indian Corporate Sector pp. 143-169

- Ajit Dayanandan, Han Donker and Sudershan Kuntluru
- Does Bankruptcy Reforms Enhance Firm Performances for Politically Connected Firms? Evidence from India pp. 170-196

- Kousik Ganguly and Ajay Kumar Mishra
- Do Prior Financial Events to Share Repurchase Announcements Matter? pp. 197-226

- Jo-Yu Wang, Chih-Hsuan Chang and Juo-Lien Wang
- Impact of FinTech Growth on Bank Performance in GCC Region pp. 227-245

- Houda Litimi, Ahmed BenSaïda and Mohamed Mahees Raheem
- Feedback Trading and Its Implications for Return Autocorrelations in India During COVID pp. 246-270

- Paramita Mukherjee and Rajashri Chatterjee
Volume 23, issue 1, 2024
- Role of Disciplinary Tools in Maintaining Bank Performance and Financial Stability: Evidence from Emerging Economies pp. 7-31

- Anjali Sain and Smita Kashiramka
- Board Leadership Structure and Firm Performance: Moderating Effects of Board Independence pp. 32-55

- Akshita Arora
- CFO Demographics and Working Capital Management in China pp. 56-82

- Qida Hu, Md. Borhan Uddin Bhuiyan and Muhammad Nurul Houqe
- Drivers of Foreign Direct Investment Inflows to Emerging Asian Economies pp. 83-107

- Pami Dua and Neha Verma
- Does Public Sentiment Impact Stock Price Movements? Evidence from India pp. 108-134

- Aditya Banerjee and Sayantan Kundu
Volume 22, issue 4, 2023
- Does Time Frame of IPO Proceeds Predict Survival of Firms? Evidence from the Malaysian Market pp. 359-381

- Siti Sarah Alyasa-Gan, Norliza Che-Yahya and Rand Kwong Yew Low
- Stretch or Suppress: Role of Owners and Nominee Directors in Financial Distress pp. 382-408

- Swechha Chada and Sumit Banerjee
- Signaling Effect of Dividend on Firm’s Future Performance: A Study of Select Emerging Economies pp. 409-436

- Sunaina Kanojia and Bunny Singh Bhatia
- Corporate Cash Holdings and Share Buyback: Evidence from Emerging Markets pp. 437-463

- Vedika Saxena and Seshadev Sahoo
- Volatility Spillover and Directionality in Cryptocurrency and Metal Markets pp. 464-485

- Sumanjay Dutta, Parthajit Kayal and G. Balasubramnaian
- The Dynamic Effect of Pandemics on Industrial Production Growth pp. 486-506

- Muneer Shaik
Volume 22, issue 3, 2023
- Financial Institutions Dynamics, Investments and Development pp. 247-271

- Rexford Abaidoo and Elvis Kwame Agyapong
- The Effect of Investment Inefficiency on Expected Returns pp. 272-296

- Jains P. Chacko and Lakshmi Padmakumari
- An Assessment of Unconventional Monetary Policy During COVID-19 Pandemic in India pp. 297-325

- D Rao and Rahul Kumar
- Beware of Extreme Investor Sentiments! Indian Evidence on the Performance of Neuro-specific Options Volatility Trading Strategies on the Facets of COVID-19 pp. 326-350

- Ansu Royit, Babu Jose and James Varghese
Volume 22, issue 2, 2023
- What Affects Startup Acquisition in Emerging Economy? Evidence from India pp. 111-134

- Khanindra Ch. Das
- Is the Beta Anomaly Real? A Correction in Existing Theories of Cost of Capital and Asset Pricing pp. 135-163

- Vinod Kumar
- Better to Give than to Receive: A Study of BRICS Countries Stock Markets pp. 164-188

- Pradiptarathi Panda, Wasim Ahmad and M. Thiripalraju
- Do Values Predict Socially Responsible Investment Decisions? Measuring the Moderating Effects of Gender pp. 189-214

- Rajdeep Kumar Raut and Rohit Kumar
- Sustainability, Resilience, and Returns During COVID-19: Empirical Evidence from US and Indian Stock Markets pp. 215-238

- Neetu Yadav and Vandana Bhama
Volume 22, issue 1, 2023
- Does Difference in Environmental Standard Influence India’s Bilateral IIT Flows? Evidence from GMM Results pp. 7-30

- Sakshi Aggarwal, Debashis Chakraborty and Nilanjan Banik
- Auditor Exits and Firm Performance: Is There a Link? pp. 31-56

- Saibal Ghosh
- Systemic Risk Transmission from the United States to Asian Economies During the COVID-19 Period pp. 57-84

- Shivani Narayan and Dilip Kumar
- Investor Attention and Global Stock Market Volatility: Evidence from COVID-19 pp. 85-104

- Chaiyuth Padungsaksawasdi and Sirimon Treepongkaruna
Volume 21, issue 4, 2022
- Exchange Rate Volatility and Financial Stress: Evidence from Developing Asia pp. 355-384

- Daitri Tiwary, Khanindra Ch. Das, Jagdish Shettigar and Pooja Misra
- Central Bank Policies and Market Power Over the Business Cycle in Africa pp. 385-411

- Daniel Ofori-Sasu, Elikplimi Komla Agbloyor, Saint Kuttu and Joshua Yindenaba Abor
- Understanding the Finance–Growth Nexus from a Multidimensional Perspective pp. 412-427

- Guangdong Xu
- Return and Volatility Spillover Effects between Rupee–Dollar Exchange Rate and Asian Stock Indices pp. 428-450

- S. Mahalakshmi, S. Thiyagarajan, Gopala Vasudevan and G. Naresh
- The Decision to Go Public and Business Group Affiliation: Evidence from India pp. 451-476

- C. Suja Sekhar and P. J. Jijo Lukose
- What Explains Excess Liquidity of Banks? Empirical Evidence from India pp. 477-503

- Md Gyasuddin Ansari and Rudra Sensarma
Volume 21, issue 3, 2022
- Foreword pp. 243-244

- Misha Sharma
- Characterizing the Over-indebted: An Event History Analysis of Financial Diaries pp. 245-264

- Sachit Rao and Navitha Parthasarathy
- Socioeconomic Determinants of Household Investment Portfolio in India pp. 265-290

- Priya Rampal and Shreya Biswas
- An Endless Bargain: A Participatory Approach to Understanding Intra-household Finance pp. 291-316

- Shriyam Gupta, Dhwani Yagnaraman and Aditya Jagati
- Calling the Shots: Determinants of Financial Decision-making and Behavior in Domestic Migrant Households in India pp. 317-342

- Vinith Kurian, Shashank Sreedharan and Fabrizio Valenti
Volume 21, issue 2, 2022
- Corruption, Chinese Investment, and Trade: Evidence from Africa pp. 123-151

- Vincent Tawiah, Jeleta Kebede and Anthony Kyiu
- Characterizing India’s Financial Cycle pp. 152-183

- Harendra Behera and Saurabh Sharma
- Economic Policy Uncertainty Versus Sector Volatility: Evidence from India Using Multi-scale Wavelet Granger Causality Analysis pp. 184-210

- Vamsidhar Ambatipudi and Dilip Kumar
- Central Bank Independence, Inflation, and Poverty in Africa pp. 211-236

- Agyapomaa Gyeke-Dako, Elikplimi Komla Agbloyor, Abel Mawuko Agoba, Festus Turkson and Emmanuel Abbey
Volume 21, issue 1, 2022
- Competition and Banking Industry Stability: How Do BRICS and G7 Compare? pp. 7-31

- Abayomi Oredegbe
- Can Equity be Safe-haven for Investment? pp. 32-63

- Janani Sri S., Parthajit Kayal and G. Balasubramanian
- Dynamic Impacts of Economic Policy Uncertainty on Australian Stock Market: An Intercontinental Evidence pp. 64-91

- Ranajit Kumar Bairagi
- Multiclass Discriminant Analysis using Ensemble Technique: Case Illustration from the Banking Industry pp. 92-115

- P. K. Viswanathan, Sandeep Srivathsan and Wayne L. Winston
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