EconPapers    
Economics at your fingertips  
 

Macroeconomics and Finance in Emerging Market Economies

2008 - 2022

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.
Track citations for all items by RSS feed
Is something missing from the series or not right? See the RePEc data check for the archive and series.


Volume 9, issue 3, 2016

Linkages between Indian and US financial markets: impact of global financial crisis and Eurozone debt crisis pp. 217-240 Downloads
Pami Dua and Divya Tuteja
A comparative analysis of stock market cycles pp. 241-261 Downloads
Jorge Uribe and Stephania Mosquera-López
Institutional quality, economic freedom and stock market volatility in the MENA region pp. 262-283 Downloads
Tarek Ibrahim Eldomiaty, Tariq Bin Faisal Al Qassemi, Ahmed Fikri Mabrouk and Lamia Soliman Abdelghany
Size, value and momentum in stock returns: evidence from India pp. 284-302 Downloads
Sudipta Das and Parama Barai
Financial inclusion, financial inclusion policy and Islamic finance pp. 303-320 Downloads
Muhamed Zulkhibri
List of referees: Volume 9 pp. 321-321 Downloads
The Editors
Editorial Board pp. ebi-ebi Downloads
The Editors

Volume 9, issue 2, 2016

Unconventional monetary policy in emerging markets pp. 101-108 Downloads
Ashima Goyal
Measuring monetary policy and its impact on the bond market of an emerging economy pp. 109-130 Downloads
Rudra Sensarma and Indranil Bhattacharyya
Is Malaysia exempted from the impossible trinity? An empirical analysis for an emerging market pp. 131-147 Downloads
Ewe Ghee Lim and Soo Khoon Goh
Is monetary policy effective in dampening fiscally induced exchange market pressures? Evidence from Ghana pp. 148-166 Downloads
Nana Akosah and Julius Berry Dasah
Responding to QE taper from the receiving end pp. 167-189 Downloads
Michael Debabrata Patra, Jeevan Khundrakpam, S Gangadaran, Rajesh Kavediya and Jessica M. Anthony
Inflation and openness in India: an asymmetric approach pp. 190-203 Downloads
Taufeeq Ajaz, Md Zulquar Nain and Bandi Kamaiah
Role of monetary policy in a New Keynesian economy: a note from a laboratory experiment pp. 204-216 Downloads
Abhishek Das, Arpita Ghose and Gautam Gupta

Volume 9, issue 1, 2016

Quantifying the cyclically adjusted fiscal stance for India pp. 1-17 Downloads
Saurabh Ghosh and Sangita Misra
South Korea’s finance--growth nexus: evidence from VARX analysis with financial crisis and openness pp. 18-33 Downloads
Takashi Fukuda
An application of a random level shifts model to the volatility of Peruvian stock and exchange rate returns pp. 34-55 Downloads
Junior A. Ojeda Cunya and Gabriel Rodríguez
The vicissitudes of stock markets and business cycles: focusing on the OIC region pp. 56-74 Downloads
Shaista Arshad
Macroeconomic determinants of stock market capitalization in an emerging market: fresh evidence from cointegration with unknown structural breaks pp. 75-99 Downloads
Muhammad Shahbaz, Ijaz Ur Rehman and Talat Afza

Volume 8, issue 3, 2015

Macroeconomic shocks and the forward yield curve: how important is monetary policy? pp. 201-223 Downloads
Chirinos-Leañez and Carolina Pagliacci
Asset price dynamics, inflation and sectoral composition of output: a dependent economy model pp. 224-243 Downloads
Moumita Basu and Nag
Exchange volatility and trade performance in Morocco and Tunisia: what have we learned so far? pp. 244-274 Downloads
Jamal Bouoiyour and Refk Selmi
Monetary transmission during low interest rate environment in a dual banking system: evidence from Malaysia pp. 275-285 Downloads
Asbeig and Salina Kassim
Repo market - A tool to manage liquidity in financial institutions pp. 286-305 Downloads
Nath
Sovereign bond markets and financial stability in an emerging economy: an application of directed acyclic graphs and SVAR models pp. 306-319 Downloads
Melo-Becerra, Jorge Ramos-Forero and Hector Zarate-Solano

Volume 8, issue 1-2, 2015

Handling complexity pp. 1-4 Downloads
Ashima Goyal
Competitive monetary easing: is it yesterday once more? pp. 5-16 Downloads
Raghuram Rajan
Inflation targeting in India pp. 17-24 Downloads
Charan Singh
Brazilian Central Bank communication and interest rate expectations pp. 25-44 Downloads
Helder de Mendonça and Ivando Faria
When and why does Bangladesh's inflation differ from India's? pp. 45-66 Downloads
Biru Paksha Paul and Hassan Zaman
Bank lending, risk taking, and the transmission of monetary policy: new evidence for an emerging economy pp. 67-80 Downloads
Nidia Reyes, Jose Gomez-Gonzalez and Jair Ojeda-Joya
Exchange rate dynamics, forecasting and the microstructure approach: empirical evidence for an emerging market economy pp. 81-89 Downloads
José Sánchez-Fung
Long memory in Indian exchange rates: an application of power-law scaling analysis pp. 90-107 Downloads
Dilip Kumar and S. Maheswaran
Revisiting purchasing power parity in major oil-exporting countries pp. 108-116 Downloads
Mohsen Bahmani-Oskooee, Tsangyao Chang, Shu-Ching Cheng and Tsung-Pao Wu
Operational currency mismatch and firm level performance: evidence from India pp. 117-137 Downloads
Anubha Dhasmana
Macroprudential regulation and bank behaviour: theory and evidence from a quasi-natural experiment pp. 138-159 Downloads
Saibal Ghosh
If bank capital matters, then how? The effect of bank capital on profitability of Turkish banks during the recent financial crisis pp. 160-166 Downloads
Alisher Akhmedjonov and Berna Balci Izgi
The inflation impact of bonds versus money financing of fiscal deficits in India: some theoretical and empirical perspectives pp. 167-184 Downloads
Sarat Dhal
The informal economy and economic volatility pp. 185-200 Downloads
Terral Mapp and Winston Moore

Volume 7, issue 2, 2014

The benefits and costs of financial market liberalization pp. 205-207 Downloads
Ashima Goyal and Subrata Sarkar
Banking sector development and economic growth in ARF countries: the role of stock markets pp. 208-229 Downloads
Rudra P. Pradhan, Sasikanta Tripathy, Shashikant Pandey and Samadhan K. Bele
Financial liberalization and emerging stock market efficiency: an empirical analysis of structural changes pp. 230-245 Downloads
Aymen Ben Rejeb and Adel Boughrara
Time-varying financial spillovers from the US to frontier markets pp. 246-283 Downloads
Galin Todorov and Prasad Bidarkota
Financial fluctuations in the Tunisian repressed market context: a Markov-switching-GARCH approach pp. 284-302 Downloads
Ali Chebbi, Raoudha Louafi and Amel Hedhli
Market fragmentation of securities market: traditional exchanges versus alternate trading venues pp. 303-314 Downloads
Rasmeet Kohli

Volume 7, issue 1, 2014

Introduction: understanding volatility in emerging markets pp. 1-3 Downloads
Ashima Goyal
Consequences of asset shortages in emerging markets pp. 4-35 Downloads
Jiaqian Chen and Patrick Imam
Interest rate pass-through in India pp. 36-60 Downloads
Nandini Sengupta
Perverse liquidity effect of monetary policy: some evidence for India pp. 61-82 Downloads
Ganti Subrahmanyam, Sridhar Telidevara and Debashis Acharya
Is there a J-curve for Azerbaijan? New evidence from industry-level analysis pp. 83-98 Downloads
Mohsen Bahmani-Oskooee, Salman Huseynov and Rustam Jamilov
Output--employment relationship across employment status: evidence from Turkey pp. 99-121 Downloads
Afsin Sahin, Aysıt Tansel and Hakan Berument
Oil price shocks on Indian economy: evidence from Toda Yamamoto and Markov regime-switching VAR pp. 122-139 Downloads
Sajal Ghosh and Kakali Kanjilal
A Structural VAR (SVAR) analysis of fiscal shocks on current accounts in India pp. 140-153 Downloads
Suresh K.G. and Aviral Tiwari
Assessing exchange rate dynamics of East Africa: fragmented or integrated? pp. 154-174 Downloads
Masafumi Yabara
Volatility spillover in the foreign exchange market: the Indian experience pp. 175-194 Downloads
Saurabh Ghosh
Evolving regulations and emerging market challenges -- the Indian context pp. 195-204 Downloads
G. Padmanabhan
Page updated 2023-01-29