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Macroeconomics and Finance in Emerging Market Economies

2008 - 2025

Current editor(s): Subrata Sarkar and Ashima Goyal

From Taylor & Francis Journals
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Volume 16, issue 3, 2023

Governance, regulation, incentives and outcomes pp. 373-376 Downloads
Ashima Goyal and Subrata Sarkar
The different role of governance in the fiscal deficit – inflation between developed and developing countries pp. 377-388 Downloads
Thuy Tien Ho, Van Bon Nguyen and Thi Bao Ngoc Nguyen
Nexus between economic policy uncertainty and institutional quality: evidence from India and Pakistan pp. 389-408 Downloads
Md. Qamruzzaman
Role of institution quality in the impact of government expenditure on economic development: a case study in Vietnamese provinces pp. 409-427 Downloads
Nguyen Viet Hong Anh and Tran Thi Kim Oanh
Political business cycle and bank liquidity creation in Ghana: the role of financial sector transparency pp. 428-446 Downloads
Agyapomaa Gyeke-Dako, Gladys Awinpoak Abindaw Nabieu, Maryam Kriese and Baah Aye Kusi
‘Lazy banks’: the case of Egypt pp. 447-457 Downloads
Gamal Haikal, Islam Abdelbary and Dina Samir
Did regulatory compliance with governance standards really enhance the profit efficiency of Indian banks? pp. 458-484 Downloads
Rachita Gulati
Bank regulation, supervision and lending: empirical evidence from selected Sub-Saharan African countries pp. 485-504 Downloads
Retselisitsoe Thamae and Nicholas Odhiambo
Assessing the impact of corporate governance on financial performance of listed companies in Vietnam pp. 505-524 Downloads
Zoltán Krajcsák, Hoang Bui and Nicholas Chandler
Impact of goodwill on firms capital structure in developed and developing countries: moderating effects of legal system pp. 525-544 Downloads
Oli Ahad Thakur, Bany-Ariffin Amin Noordin, Bolaji Tunde Matemilola and Md. Kausar Alam
Strategizing export promotion in Indian telecom sector: empirical evidence using time and frequency analysis pp. 545-568 Downloads
Brajesh Mishra, Sajal Ghosh and Kakali Kanjilal

Volume 16, issue 2, 2023

The portfolio theory of inflation and policy (in)effectiveness: a revisitation pp. 203-221 Downloads
Biagio Bossone
A test for the contributions of urban and rural inflation to inflation persistence in Nigeria pp. 222-246 Downloads
Godday Ebuh, Afees Salisu, Victor Oboh and Nuruddeen Usman
How do firms manage liquidity during currency crisis? The case of Turkey pp. 247-263 Downloads
Ismail Kalash
Risk vs Upside uncertainty: application of quantile regression in investment analysis pp. 264-284 Downloads
Seema Rehman, Jameel Ahmed Khilji and Saqib Sharif
The behaviour of the risk based capital adequacy ratio in Iran’s banking system pp. 285-299 Downloads
Ebrahim Rezaei
Macroeconomic variables and stock market performance: a PMG/ARDL approach for BRICS economies pp. 300-325 Downloads
Umer Mushtaq Lone, Mushtaq Ahmad Darzi and Khalid Ul Islam
Dynamic spillover effect and hedging between the gold price and key financial assets. New evidence from Vietnam pp. 326-356 Downloads
Ngo Thai Hung
The efficiency of provincial government health care expenditure after China’s new health care reform pp. 357-372 Downloads
Yuwei Du, Yaojun Fan and Xiang Hu

Volume 16, issue 1, 2023

Fund governance and flow performance relationship pp. 1-16 Downloads
Saleh Nawaz Khan and Amna Noor
Determinants analysis of grain price under financialization pp. 17-31 Downloads
Fan Yaojun
Bank capital and monetary policy transmission in India pp. 32-56 Downloads
Silu Muduli and Harendra Behera
Sub-national government debt sustainability in India: an empirical analysis pp. 57-79 Downloads
Sangita Misra, Kirti Gupta and Pushpa Trivedi
A real-business-cycle model with human capital accumulation: lessons for Bulgaria (1999-2018) pp. 80-94 Downloads
Aleksandar Vasilev
Is the six-factor asset pricing model discounting the global returns? pp. 95-136 Downloads
Rahul Roy
Accruals, cash flows and stock returns: evidence from BIST 100 pp. 137-156 Downloads
Emine Kaya
Systematic investment plans vs market-timed investments pp. 157-176 Downloads
Renuka Venkataramani and Parthajit Kayal
Can the Indonesian banking industry benefit from a risk-based deposit insurance system? pp. 177-196 Downloads
Muhammad Nizar and Alfan Mansur
Institutions for macroeconomic stability: a review of ‘Monetary policy in low financial development countries’ pp. 197-201 Downloads
José Sánchez-Fung

Volume 15, issue 3, 2022

Inflation, inflation expectations and central bank communication in emerging markets pp. 215-230 Downloads
José Sánchez-Fung
The impact of trade war on the ASEAN-4 economy pp. 231-245 Downloads
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 Downloads
Magaly Duarte Urquhart
Does financial interconnectedness affect monetary transmission? Evidence from India pp. 273-300 Downloads
Saibal Ghosh
The relationship between insurance and economic growth in Asian countries: a regional perspective pp. 301-322 Downloads
Nikita Singhal, Shikha Goyal and Tanmay Singhal

Volume 15, issue 2, 2022

Investment slowdown in India – an assessment pp. 109-124 Downloads
Sitikantha Pattanaik, Harendra Behera, Rajesh Kavediya and Arvind Shrivastava
The openness-inflation puzzle: an asymmetric approach pp. 125-139 Downloads
Irfan Ahmad Shah and Ammu Lavanya
Inflation, output and unemployment trade-offs in Sub-Saharan Africa countries pp. 140-159 Downloads
Johnson Ahiadorme
Spillovers and portfolio risk management of gold and stock markets: evidence from emerging Latin American markets pp. 160-176 Downloads
Imran Yousaf, Shoaib Ali and Faisal Abbas
Tail risk optimized portfolio across states in Asia-Pacific markets with higher-order dependence pp. 177-195 Downloads
Saurav Kumar, Sujoy Bhattacharya and Satrajit Mandal
Re-examining oil and BRICS’ stock markets: new evidence from wavelet and MGARCH-DCC pp. 196-214 Downloads
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 Downloads
Boubekeur Baba and Güven Sevil
Fiscal rules and debt dynamics in India pp. 23-46 Downloads
Advait Moharir
Natural resources, rent seeking and economic development. An analysis of the resource curse hypothesis for Iran pp. 47-65 Downloads
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 Downloads
Hamza Bouhali, Ahmed Dahbani and Brahim Dinar
Short-term market reaction to inflation announcement: evidence from the Indian stock market pp. 86-108 Downloads
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 Downloads
Berna Aydoğan, Gülin Vardar and Tezer Yelkenci
China’s policy target rates: a preliminary comparative analysis pp. 241-257 Downloads
Kerry Liu
Revisiting the Credit-Output Nexus in India: A Macro and Sectoral Analysis pp. 258-277 Downloads
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 Downloads
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 Downloads
Ashis Pradhan, Ishan Mittal and Aviral Tiwari
Corruption and banks’ non-performing loans: empirical evidence from MENA countries pp. 308-321 Downloads
Amer Mohamad and Hatice Jenkins
Referee Award - Volume 14 pp. 322-322 Downloads
The Editors

Volume 14, issue 2, 2021

Leverage and bank’s performance: do type and crises matter? pp. 111-125 Downloads
Ahmad Y. Khasawneh
How quantitatively important is public investment for both business cycle fluctuations and output growth in Bulgaria (1999–2018)? pp. 126-141 Downloads
Aleksandar Vasilev
Is Neo-Fisherism ‘alive’ in South Africa? A frequency domain causality approach pp. 142-156 Downloads
Andrew Phiri
Asymmetric fiscal multipliers in India – Evidence from a non-linear cointegration pp. 157-179 Downloads
Javed Ahmad Bhat and Naresh Kumar Sharma
Corporate borrowing exuberance and credit cycles- some insights from an emerging economy, India pp. 180-199 Downloads
Saumitra Bhaduri and Ekta Selarka
Ebbs and flows: the determinants of local currency bond market liquidity in Poland pp. 200-218 Downloads
Piotr Bartkiewicz

Volume 14, issue 1, 2021

Does the IFRS adoption promote emerging stock markets development and performance? pp. 1-23 Downloads
Habib Ben Cheikh and Aymen Ben Rejeb
India facing the macroeconomic policy trade-off – is it dilemma, trilemma or quadrilemma? pp. 24-44 Downloads
Sayantan Majumder and Ranjanendra Narayan Nag
Asymmetric and regime switching behaviour of GDP and energy nexus in India: new evidences pp. 45-65 Downloads
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 Downloads
Mohsen Bahmani-Oskooee and Sujata Saha
Price convergence and goods market integration in GCC countries pp. 86-104 Downloads
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 Downloads
Ashima Goyal
Page updated 2025-07-05