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Journal of Emerging Market Finance

2002 - 2025

From Institute for Financial Management and Research
Bibliographic data for series maintained by SAGE Publications ().

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Volume 16, issue 3, 2017

Economic Integration in the Six Middle Eastern Gulf Countries: A Look from the Perspective of Money Demand pp. 189-218 Downloads
Samih Antoine Azar, Fadi Asrawi and Emad Gharzuddine
Rational–Irrational Investor Sentiments and Emerging Stock Market Returns: A Comparison from Turkey pp. 219-245 Downloads
Sidika Gulfem Bayram
Modelling Credit Default in Microfinance—An Indian Case Study pp. 246-258 Downloads
P. K. Viswanathan and S. K. Shanthi
Merger of Public Sector Banks in India Under the Rule of Reason pp. 259-273 Downloads
Rani S. Ladha

Volume 16, issue 2, 2017

Significant Difference in the Yields of Sukuk Bonds versus Conventional Bonds pp. 115-135 Downloads
Mohamed Ariff, A. Chazi, Meysam Safari and A. Zarei
The Information Content of the Term Structure of Interest Rates in Emerging Economies: The Case of Thailand pp. 136-150 Downloads
Archawa Paweenawat
Efficiency of Microfinance Institutions in India: A Stochastic Distance Function Approach pp. 151-168 Downloads
Nitin Kumar and Rudra Sensarma
Information Content of Implicit Spot Prices Embedded in Single Stock Future Prices: Evidence from Indian Market pp. 169-187 Downloads
Rajesh Pathak, Thanos Verousis and Yogesh Chauhan

Volume 16, issue 1, 2017

Intraday Periodicity and Volatility Forecasting: Evidence from Indian Crude Oil Futures Market pp. 1-28 Downloads
B.B. Chakrabarti and Vivek Rajvanshi
Impact of Cash Dividend Announcements: Evidence from the Indian Manufacturing Companies pp. 29-60 Downloads
Sadaf Anwar, Shveta Singh and P. K. Jain
Estimating Financial Conditions Index for India pp. 61-89 Downloads
Jeevan Khundrakpam, Rajesh Kavediya and Jessica M. Anthony
Weak-form Efficiency After Global Financial Crisis: Emerging Stock Market Evidence pp. 90-113 Downloads
Emenike Kalu O.

Volume 15, issue 3, 2016

The Stock Market Reaction to Board Changes: The South African Experience pp. 269-294 Downloads
Narendra Bhana
Reconciling Theory and Evidences for Corporate Financing in India pp. 295-309 Downloads
Gaurav Singh Chauhan
Does Bank Failure Affect Client Firms? Micro Evidence from Estonia pp. 310-332 Downloads
Karin Jõeveer
Modelling the Paradox in Stock Markets by Variance Ratio Volatility Estimator that Utilises Extreme Values of Asset Prices pp. 333-361 Downloads
Muneer Shaik and S. Maheswaran

Volume 15, issue 2, 2016

Risk-taking, Ownership and Excess Reserves in the Ghanaian Banking System pp. 147-168 Downloads
Theodora Akweley Odonkor, Bright Addiyiah Osei and Bo Sjö
Does Social Embedding Influence Banking Habits? A Case of India pp. 169-190 Downloads
Pinaki Roy and Amey Sapre
Ownership, Board Compensation and Company Performance in Sub-Saharan African Countries pp. 191-224 Downloads
Gibson Hosea Munisi and Roy Mersland
Do Financial Indicators Drive Market Value of Firms in the Transition Economies? The Russian Case pp. 225-268 Downloads
Jyoti Gupta, Pramuan Bunkanwanicha, Sergey Khakimov and Philippe Spieser

Volume 15, issue 1, 2016

Transmission of News in Eurozone Bank Holdings and European Bank Markets in the Light of the Greek Debt Crisis pp. 1-48 Downloads
Athanasios Koulakiotis, Apostolos Kiohos and Nicholas Papasyriopoulos
Influence of Foreign Institutional Investments (FIIs) on the Indian Stock Market: An Insight by VAR Models pp. 49-83 Downloads
Harsh Vardhan and Pankaj Sinha
Board Independence, Audit Quality and Earnings Management: Evidence from Egypt pp. 84-118 Downloads
Mohamed Khalil and Aydin Ozkan
What Drives the Stock Market Return in India? An Exploration with Dynamic Factor Model pp. 119-145 Downloads
Paramita Mukherjee and Malabika Roy

Volume 14, issue 3, 2015

Does the US Fear Gauge Impact on the Investor Fear Gauge in the Emerging Markets? pp. 197-209 Downloads
Yen-Hsien Lee
An Investment Strategy Based on Leverage: Evidence from BSE 500 pp. 210-238 Downloads
Lorraine D’Mello and Sheeja Sivaprasad
A Markov-Switching Model for Indian Stock Price and Volume pp. 239-257 Downloads
Kausik Chaudhuri and Alok Kumar
Conjoint Analysis of Option and Volatility Models pp. 258-289 Downloads
Vipul Kumar Singh

Volume 14, issue 2, 2015

The Response of the Mexican Equity Market to US Monetary Surprises pp. 87-111 Downloads
Ellis B. Heath and Seth J. Kopchak
Long-term Overreaction, Regulatory Policies and Stock Market Anomalies: Evidence from Egypt pp. 112-139 Downloads
Hisham Farag
On the Relationship of Ex-ante and Ex-post Volatility: A Sub-period Analysis of S&P CNX Nifty Index Options pp. 140-175 Downloads
Imlak Shaikh and Puja Padhi
Do Stock Prices Impact Consumption and Interest Rate in South Africa? Evidence from a Time-varying Vector Autoregressive Model pp. 176-196 Downloads
Goodness C. Aye, Rangan Gupta and Mampho P. Modise

Volume 14, issue 1, 2015

The Relationship between Indian Realty Stocks and Online Searches pp. 1-19 Downloads
Prashant Das and Alan Ziobrowski
Subscription Rate and Volatility pp. 20-58 Downloads
Seshadev Sahoo
Why do Firms Issue Equity? pp. 59-85 Downloads
Saumitra Bhaduri

Volume 13, issue 3, 2014

Do Asset Pricing Models Explain Size, Value, Momentum and Liquidity Effects? The Case of an Emerging Stock Market pp. 217-251 Downloads
Saumya Ranjan Dash and Jitendra Mahakud
Regime-Switching Behaviour in the Conditional Volatility of MENA Stock Market Returns pp. 253-278 Downloads
Slah Bahloul and Fathi Abid
On the Dynamic Transmission of Mean and Volatility across the Arab Stock Markets pp. 279-304 Downloads
Elie Bouri and Georges Azzi
A Methodology to Estimate the Interest Rate Yield Curve in Illiquid Market pp. 305-333 Downloads
Fatma Chakroun and Fathi Abid
The Influence of E-disclosure on the Ex-Ante Cost of Capital of Listed Companies in Brazil pp. 335-365 Downloads
Wesley Mendes-Da-Silva, Luciana Massaro Onusic and Daniel Reed Bergmann

Volume 13, issue 2, 2014

Financial Deepening and Economic Growth in Saudi Arabia pp. 139-154 Downloads
Hazem A. Marashdeh and Husam-Aldin N. Al-Malkawi
Liquidity Measures and Cost of Trading in an Illiquid Market pp. 155-196 Downloads
Seth Armitage, Janusz Brzeszczyński and Anna Serdyuk
Investor Behaviour and Herding: Evidence from the National Stock Exchange in India pp. 197-216 Downloads
Sunil Poshakwale and Anandadeep Mandal

Volume 13, issue 1, 2014

What Influences Banks Lending in Sub-Saharan Africa? pp. 1-42 Downloads
Mohammed Amidu
Applying Approximate Entropy (ApEn) to Speculative Bubble in the Stock Market pp. 43-68 Downloads
Saumitra Bhaduri
Financial Sectors Reform and Economic Growth in Morocco: An Empirical Analysis pp. 69-102 Downloads
Jung-Suk Yu, M. Kabir Hassan, Abdullah Mamun and Abul Hassan
Reforms, Ownership and Determinants of Efficiency: An Empirical Study of Commercial Banks in India pp. 103-138 Downloads
Padmasai Arora

Volume 12, issue 3, 2013

The Role of Asset Prices in Forecasting Inflation and Output in South Africa pp. 239-291 Downloads
Rangan Gupta and Faaiqa Hartley
The Information Content of Alternate Implied Volatility Models: Case of Indian Markets pp. 293-321 Downloads
A. Vinay Kumar and Shikha Jaiswal
Determinants of Board Structure in Microfinance Institutions: Evidence from East Africa pp. 323-365 Downloads
Neema Mori, Trond Randøy and Sougand Golesorkhi

Volume 12, issue 2, 2013

Micro Small-sized Enterprises and Bank Credit pp. 129-150 Downloads
Agyenim Boateng and Muhammad D. Abdulrahman
Low-dimensional Characterisation of Liquidity of Individual Stocks in the Indian Market pp. 151-196 Downloads
Devlina Chatterjee and Chiranjit Mukhopadhyay
Market-wide Herding and the Impact of Institutional Investors in the Indian Capital Market pp. 197-237 Downloads
M.V. Lakshman, Sankarshan Basu and R. Vaidyanathan

Volume 12, issue 1, 2013

Diversification Opportunities through Fixed-income Managed Funds in Eastern Europe pp. 1-29 Downloads
Chris Grose
Do Foreign Institutional Investors Reward Transparency and Disclosure pp. 31-57 Downloads
Bengi Ertuna and Ali Tükel
On the Viability of Group Lending when Microfinance Meets the Market pp. 59-106 Downloads
Lutz Arnold, Johannes Reeder and Susanne Steger
Moon Phases, Mood and Stock Market Returns pp. 107-127 Downloads
Christos Floros and Yong Tan
Page updated 2025-04-12