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Journal of Emerging Market Finance

2002 - 2022

From Institute for Financial Management and Research
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Volume 21, issue 3, 2022

Foreword pp. 243-244 Downloads
Misha Sharma
Characterizing the Over-indebted: An Event History Analysis of Financial Diaries pp. 245-264 Downloads
Sachit Rao and Navitha Parthasarathy
Socioeconomic Determinants of Household Investment Portfolio in India pp. 265-290 Downloads
Priya Rampal and Shreya Biswas
An Endless Bargain: A Participatory Approach to Understanding Intra-household Finance pp. 291-316 Downloads
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 Downloads
Vinith Kurian, Shashank Sreedharan and Fabrizio Valenti

Volume 21, issue 2, 2022

Corruption, Chinese Investment, and Trade: Evidence from Africa pp. 123-151 Downloads
Vincent Tawiah, Jeleta Kebede and Anthony Kyiu
Characterizing India’s Financial Cycle pp. 152-183 Downloads
Harendra Behera and Saurabh Sharma
Economic Policy Uncertainty Versus Sector Volatility: Evidence from India Using Multi-scale Wavelet Granger Causality Analysis pp. 184-210 Downloads
Vamsidhar Ambatipudi and Dilip Kumar
Central Bank Independence, Inflation, and Poverty in Africa pp. 211-236 Downloads
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 Downloads
Abayomi Oredegbe
Can Equity be Safe-haven for Investment? pp. 32-63 Downloads
Janani Sri S., Parthajit Kayal and G. Balasubramanian
Dynamic Impacts of Economic Policy Uncertainty on Australian Stock Market: An Intercontinental Evidence pp. 64-91 Downloads
Ranajit Kumar Bairagi
Multiclass Discriminant Analysis using Ensemble Technique: Case Illustration from the Banking Industry pp. 92-115 Downloads
P. K. Viswanathan, Sandeep Srivathsan and Wayne L. Winston

Volume 20, issue 3, 2021

Antecedents of Stage-wise Investment Preferences of Venture Capital and Private Equity Firms in India: An Empirical Exploration pp. 264-289 Downloads
Poonam Dugar and Rakesh Basant
Nonlinearity in Global Crude Oil Benchmarks: Disentangling the Effect of Time Aggregation pp. 290-307 Downloads
George Varghese and Vinodh Madhavan
Central Bank Communications and Professional Forecasts: Evidence From India pp. 308-336 Downloads
Ashima Goyal and Prashant Parab

Volume 20, issue 2, 2021

Crude Oil Volatility Transmission Across Food Commodity Markets: A Multivariate BEKK-GARCH Approach pp. 131-164 Downloads
M. Thenmozhi and Shipra Maurya
Exploring the Yield Spread Between Sukuk and Conventional Bonds in Malaysia pp. 165-191 Downloads
Nurin Haniah Asmuni and Ken Seng Tan
The Interplay Between Sentiment and MAX: Evidence from an Emerging Market pp. 192-217 Downloads
Nilesh Gupta and Joshy Jacob
Financial Access of Latin America and Caribbean Firms: What Are the Roles of Institutional, Financial, and Economic Development? pp. 227-263 Downloads
Lan Khanh Chu

Volume 20, issue 1, 2021

Estimation of Macro-financial Linkages for the Indian Economy pp. 7-47 Downloads
Shesadri Banerjee, Jayanthi K. Anand and Shashanka Bhide
Assessing the Effects of Anti-corruption Law on Entrepreneurial Finance: Evidence from Latin America pp. 48-78 Downloads
Francesca Battaglia, Marika Carboni, Antonella Francesca Cicchiello and Stefano MonferrÃ
Do Investors Overreact for Property and Financial Service Sectors? pp. 79-123 Downloads
Zhi Dong and Tien Foo Sing

Volume 19, issue 3, 2020

Intraday Variability and Trading Volume: Evidence from National Stock Exchange pp. 271-295 Downloads
Aravind Sampath and Arun Kumar Gopalaswamy
The Relative Role of Sovereign CDS and Bond Markets in Efficiently Pricing Emerging Market Sovereign Credit Risk pp. 296-325 Downloads
Zubair Ali Raja, William J. Procasky and Renee Oyotode-Adebile
The Journal of Emerging Market Finance: A Bibliometric Overview (2002–2019) pp. 326-352 Downloads
Satish Kumar, Vinodh Madhavan and Riya Sureka

Volume 19, issue 2, 2020

Web-Based Investor Fear Gauge and Stock Market Volatility: An Emerging Market Perspective pp. 127-153 Downloads
Michael Graham, Jussi Nikkinen and Jarkko Peltomäki
The Independence of Central Banks, Political Institutional Quality and Financial Sector Development in Africa pp. 154-188 Downloads
Abel Mawuko Agoba, Joshua Abor, Kofi Achampong Osei and Jarjisu Sa-Aadu
Monetary Surprises and Global Financial Flows: A Case Study of Latin America pp. 189-225 Downloads
Eric Fischer
Predicting Financial Health of Banks for Investor Guidance Using Machine Learning Algorithms pp. 226-261 Downloads
P. K. Viswanathan, Suresh Srinivasan and N. Hariharan

Volume 19, issue 1, 2020

Has the Global Financial Crisis Changed the Market Response to Credit Ratings? Evidence from an Emerging Market pp. 7-32 Downloads
Kaveri Krishnan, Sankarshan Basu and Ashok Thampy
Foreign Direct Investment Determinants in Oil Exporting Countries: Revisiting the Role of Natural Resources pp. 33-65 Downloads
Mohamed Abdelaziz Eissa and Mohammed Elgammal
Sectoral Loan Portfolio Concentration and Bank Stability: Evidence from an Emerging Economy pp. 66-99 Downloads
Baah Aye Kusi, Lydia Adzobu, Alex Kwame Abasi and Kwadjo Ansah-Adu
Housing Choice as a Function of Risks Confronting Low-income Households pp. 100-118 Downloads
Anand Sahasranaman, Vishnu Prasad and Aditi Balachander

Volume 18, issue 3, 2019

Information Linkages Among BRICS Countries: Empirical Evidence from Implied Volatility Indices pp. 263-289 Downloads
Gagan Sharma, Parthajit Kayal and Piyush Pandey
Gauging the Impact of Payment System Innovations on Financial Intermediation: Novel Empirical Evidence from Indonesia pp. 290-338 Downloads
Alexander Lubis, Constantinos Alexiou and Joseph G. Nellis
Global Financial Crisis: Dynamics of Liquidity Risk in Emerging Asia pp. 339-362 Downloads
Suraj Kumar and Krishna Prasanna

Volume 18, issue 2_suppl, 2019

The Joint Dynamics of Liquidity and Volatility Across Small- and Large- index Indian Funds pp. S167-S182 Downloads
Kriti Kulshrestha and Saumitra Bhaduri
‘Indian Stock Market Volatility’: A Study of Inter-linkages and Spillover Effects pp. S183-S212 Downloads
Suparna Nandy (Pal) and Arup Kr. Chattopadhyay
Price and Volatility Linkages Between Indian Stocks and Their European GDRs pp. S213-S237 Downloads
Vinodh Madhavan and Partha Ray
Does Board Composition Matter to Institutional Investors? pp. S238-S266 Downloads
Shashank Bansal and M. Thenmozhi

Volume 18, issue 2, 2019

Challenges and Opportunities Brought to the Chinese Economy by Brexit and the New US Administration pp. 145-171 Downloads
Lucía Morales and Bernadette Andreosso-O’Callaghan
Structural Breaks in Volatility Transmission from Developed Markets to Major Asian Emerging Markets pp. 172-209 Downloads
Dilip Kumar
A VaR-based Downside Risk Analysis of Indian Equity Mutual Funds in the Pre- and Post-global Financial Crisis Periods pp. 210-236 Downloads
Soumya Guha Deb
Pecking Order Test at Varying Debt Levels: A Comparative Study of Indian and Chinese Firms pp. 237-261 Downloads
Vandana Bhama, Pramod Kumar Jain and Surendra Singh Yadav

Volume 18, issue 1_suppl, 2019

Threshold Effect of Bank-specific Determinants of Non-performing Assets: An Application in Indian Banking pp. S1-S34 Downloads
Samaresh Bardhan, Rajesh Sharma and Vivekananda Mukherjee
Unique Calendar Effects in the Indian Stock Market: Evidence and Explanations pp. S35-S58 Downloads
Harshita, Shveta Singh and Surendra S. Yadav
Do Country ETFs Influence Foreign Stock Market Index? Evidence from India ETFs pp. S59-S86 Downloads
S. Narend and M. Thenmozhi
Perspective on Underpricing of IPOs in Emerging Economies pp. S87-S101 Downloads
L V Ramana
Interlinkages Between USD–INR, EUR–INR, GBP–INR and JPY–INR Exchange Rate Markets and the Impact of RBI Intervention pp. S102-S136 Downloads
Pami Dua and Ritu Suri
Four-moment CAPM Model: Evidence from the Indian Stock Market pp. S137-S166 Downloads
Dheeraj Misra, Sushma Vishnani and Ankit Mehrotra

Volume 18, issue 1, 2019

On the Asymmetric Effects of Exchange Rate Changes on the Demand for Money: Evidence from Emerging Economies pp. 1-22 Downloads
Mohsen Bahmani-Oskooee, Sahar Bahmani, Ali Kutan and Dan Xi
An Empirical Examination of IPO Underpricing Between High-technology and Non-high-technology Firms in Taiwan pp. 23-51 Downloads
Simon Gao and Tony Chieh-Tse Hou
Bond–Equity Yield Ratio Market Timing in Emerging Markets pp. 52-79 Downloads
Nebojsa Dimic, Vitaly Orlov and Janne Äijö
How Underlying Dimensions of Political Risk Affect Excess Return in Emerging and Developed Markets pp. 80-105 Downloads
Ida Q. Nesset, Ingrid Bøgeberg, Frode Kjærland and Lars H. Molden
Do New Brooms Sweep Clean? Evidence that New CEOs Take a ‘Big Bath’ in the Banking Industry pp. 106-144 Downloads
Chung-Hua Shen and Chien-An Wang
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