Macroeconomics and Finance in Emerging Market Economies
2008 - 2025
Current editor(s): Subrata Sarkar and Ashima Goyal From Taylor & Francis Journals Bibliographic data for series maintained by Chris Longhurst (). Access Statistics for this journal.
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Volume 15, issue 3, 2022
- Inflation, inflation expectations and central bank communication in emerging markets pp. 215-230

- José Sánchez-Fung
- The impact of trade war on the ASEAN-4 economy pp. 231-245

- Ahmad Heri Firdaus, Ely Nurhayati and Ariyo Irhamna
- Public debt, inflation, and the Fiscal Theory of Price Level in emerging markets: the case of Paraguay pp. 246-272

- Magaly Duarte Urquhart
- Does financial interconnectedness affect monetary transmission? Evidence from India pp. 273-300

- Saibal Ghosh
- The relationship between insurance and economic growth in Asian countries: a regional perspective pp. 301-322

- Nikita Singhal, Shikha Goyal and Tanmay Singhal
Volume 15, issue 2, 2022
- Investment slowdown in India – an assessment pp. 109-124

- Sitikantha Pattanaik, Harendra Behera, Rajesh Kavediya and Arvind Shrivastava
- The openness-inflation puzzle: an asymmetric approach pp. 125-139

- Irfan Ahmad Shah and Ammu Lavanya
- Inflation, output and unemployment trade-offs in Sub-Saharan Africa countries pp. 140-159

- Johnson Ahiadorme
- Spillovers and portfolio risk management of gold and stock markets: evidence from emerging Latin American markets pp. 160-176

- Imran Yousaf, Shoaib Ali and Faisal Abbas
- Tail risk optimized portfolio across states in Asia-Pacific markets with higher-order dependence pp. 177-195

- Saurav Kumar, Sujoy Bhattacharya and Satrajit Mandal
- Re-examining oil and BRICS’ stock markets: new evidence from wavelet and MGARCH-DCC pp. 196-214

- Muhammad Mahmudul Karim, Mohammad Ashraful Chowdhury and Abul Masih
Volume 15, issue 1, 2022
- The foreign capital inflows and the boom in house prices: time-varying evidence from emerging markets pp. 1-22

- Boubekeur Baba and Güven Sevil
- Fiscal rules and debt dynamics in India pp. 23-46

- Advait Moharir
- Natural resources, rent seeking and economic development. An analysis of the resource curse hypothesis for Iran pp. 47-65

- Roberto Dell’Anno and Majid Maddah
- Sustainability of basket peg choices in the post-COVID-19 era: new evidence from Morocco & Tunisia pp. 66-85

- Hamza Bouhali, Ahmed Dahbani and Brahim Dinar
- Short-term market reaction to inflation announcement: evidence from the Indian stock market pp. 86-108

- Gurmeet Singh and Balasubramanian G
Volume 14, issue 3, 2021
- Revisiting portfolio flows – exchange rate nexus in emerging markets: a Markov Regime Switching MGARCH approach pp. 219-240

- Berna Aydoğan, Gülin Vardar and Tezer Yelkenci
- China’s policy target rates: a preliminary comparative analysis pp. 241-257

- Kerry Liu
- Revisiting the Credit-Output Nexus in India: A Macro and Sectoral Analysis pp. 258-277

- Sanjay Kumar Hansda, Dirghau Keshao Raut, Bikash Maji and Anoop K. Suresh
- Benevolent savings and macroeconomic variables: some empirical evidence from Iran pp. 278-290

- Abolghasem Tohidinia, Ali Reza Oryoie and Amin Mohseni-Cheraghlou
- Optimizing the market-risk of major cryptocurrencies using CVaR measure and copula simulation pp. 291-307

- Ashis Pradhan, Ishan Mittal and Aviral Tiwari
- Corruption and banks’ non-performing loans: empirical evidence from MENA countries pp. 308-321

- Amer Mohamad and Hatice Jenkins
- Referee Award - Volume 14 pp. 322-322

- The Editors
Volume 14, issue 2, 2021
- Leverage and bank’s performance: do type and crises matter? pp. 111-125

- Ahmad Y. Khasawneh
- How quantitatively important is public investment for both business cycle fluctuations and output growth in Bulgaria (1999–2018)? pp. 126-141

- Aleksandar Vasilev
- Is Neo-Fisherism ‘alive’ in South Africa? A frequency domain causality approach pp. 142-156

- Andrew Phiri
- Asymmetric fiscal multipliers in India – Evidence from a non-linear cointegration pp. 157-179

- Javed Ahmad Bhat and Naresh Kumar Sharma
- Corporate borrowing exuberance and credit cycles- some insights from an emerging economy, India pp. 180-199

- Saumitra Bhaduri and Ekta Selarka
- Ebbs and flows: the determinants of local currency bond market liquidity in Poland pp. 200-218

- Piotr Bartkiewicz
Volume 14, issue 1, 2021
- Does the IFRS adoption promote emerging stock markets development and performance? pp. 1-23

- Habib Ben Cheikh and Aymen Ben Rejeb
- India facing the macroeconomic policy trade-off – is it dilemma, trilemma or quadrilemma? pp. 24-44

- Sayantan Majumder and Ranjanendra Narayan Nag
- Asymmetric and regime switching behaviour of GDP and energy nexus in India: new evidences pp. 45-65

- Kakali Kanjilal and Sajal Ghosh
- On the asymmetric effects of exchange rate volatility on the trade flows of India with each of its fourteen partners pp. 66-85

- Mohsen Bahmani-Oskooee and Sujata Saha
- Price convergence and goods market integration in GCC countries pp. 86-104

- Razzaque H. Bhatti and Nassar S. Al-Nassar
- Facets of India’s economy and her society: Current state and future prospects, Volumes I and II pp. 105-109

- Ashima Goyal
Volume 13, issue 3, 2020
- Macroeconomic costs of currency crises in BRICS: an empirical analysis pp. 223-243

- Balaga Mohana Rao and Puja Padhi
- Inflation expectations of households: do they influence wage-price dynamics in India? pp. 244-263

- Sitikantha Pattanaik, Silu Muduli and Soumyajit Ray
- Fundamental beta and portfolio performance: evidence from an emerging market pp. 264-275

- Hafsal K and S. Raja Sethu Durai
- Angel investors, seed-stage investors and founders influence on FinTech funding: an emerging market context pp. 276-294

- Luisa Herck Giaquinto and Adriana Bortoluzzo
- Expansion and profitability of bank branches: a study on selected rural branches of Bangladesh pp. 295-315

- Syed Manzur Quader, Nahin Israt Shamsi and Mohammad Nayeem Abdullah
- Referee Award - Volume 13 pp. 316-316

- The Editors
Volume 13, issue 2, 2020
- Investment-cash flow sensitivity: a macroeconomic approach pp. 115-139

- Moncef Guizani
- Determinants of firm-level investment in India: does size matter? pp. 140-160

- Parul Bhardwaj and Abhishek Kumar
- Inflation dynamics in Uganda: a quantile regression approach pp. 161-187

- Francis Leni Anguyo, Rangan Gupta and Kevin Kotze
- Economic and political determinants of social sector expenditures: evidence from Indian states pp. 188-204

- Chandralekha Paike and Rama Pal
- Demand for cash: an econometric model of currency demand in India pp. 205-222

- Anirudh Tagat and Pushpa L. Trivedi
Volume 13, issue 1, 2020
- Dynamic effects of macroeconomic policies on categories of emerging markets’ capital inflows pp. 1-28

- Adugna Olani
- Indian growth is not overestimated: Mr. Subramanian you got it wrong pp. 29-52

- Ashima Goyal and Abhishek Kumar
- Has FRBM rule influenced fiscal deficit-growth nexus differently in India? pp. 53-66

- Dinabandhu Sethi, Asit Ranjan Mohanty and Avipsa Mohanty
- Does uncertainty predict cryptocurrency returns? A copula-based approach pp. 67-88

- Ur Koumba, Calvin Mudzingiri and Jules Clement Mba
- The dynamics of macroeconomic variables in Indian stock market: a Bai–Perron approach pp. 89-113

- Narayan Parab and Y. V. Reddy
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