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 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
Volume 12, issue 3, 2019
- Gaps galore in the monetary approach to the purchasing power parity: a theoretical note pp. 197-204

- Ganti Subrahmanyam and Kalluru Shiva Reddy
- Forecasting India’s economic growth: a time-varying parameter regression approach pp. 205-228

- Rudrani Bhattacharya, Parma Chakravartti and Sudipto Mundle
- Rationality of inflation expectations: an interpretation of Google Trends data pp. 229-239

- Motilal Bicchal and S. Raja Sethu Durai
- An empirical analysis of efficiency in the Indian gold futures market pp. 240-269

- Golak Nath, Manoj Dalvi, Vardhana Pawaskar, Sahana Rajaram and Manoel Pacheco
- The impact of macroeconomic variables on industrial shares listed on the Johannesburg Stock Exchange pp. 270-292

- Kamoto Banda, John Henry Hall and Rudra P. Pradhan
- Can BRICS countries escape the middle-income trap? pp. 293-296

- Barendra Kumar Bhoi
- Referee Award - Volume 12 pp. 297-297

- Ashima Goyal
Volume 12, issue 2, 2019
- The implementation of an adjusted relative strength index model in foreign currency and energy markets of emerging and developed economies pp. 105-123

- Ikhlaas Gurrib and Firuz Kamalov
- Interest rates, inflation, and the Fisher effect in China pp. 124-133

- José Sánchez-Fung
- Inter-corporate loans: the Indian experience pp. 134-154

- Anupam Naskar and Rajendra Vaidya
- Return and volatility spillovers between currency and bond markets in India pp. 155-173

- Sudarsana Sahoo, Harendra Behera and Pushpa Trivedi
- Bangladesh’s trade partners and the J-curve: an asymmetry analysis pp. 174-189

- Mohsen Bahmani-Oskooee, Mir Obaidur Rahman and Mohammad Abdul Kashem
- Macroeconomics from a higher standpoint pp. 190-195

- Romar Correa
Volume 12, issue 1, 2019
- Scaling behaviour of Treasury rates in India pp. 1-23

- Gourishankar Hiremath, Kritarth Jha and Ankur Agarwal
- Optimal fiscal policy with environmental tax and pollution abatement spending in a model with utility-enhancing environmental quality: lessons from Bulgaria pp. 24-35

- Aleksandar Vasilev
- The impact of revenue diversification on bank profitability and risk: evidence from MENA banking industry pp. 36-70

- Nesrine Ammar and Adel Boughrara
- Aberrant investor participation amid substantial price swings: high-frequency evidence of magnet-repellent effect from Malaysia pp. 71-94

- Imtiaz Mohammad Sifat, Azhar Mohamad and Zarinah Hamid
- The quest for monetary and financial stability: a review of professor Dilip M. Nachane, critique of the new consensus macroeconomics and implications for India pp. 95-104

- Vikas Chitre
Volume 11, issue 3, 2018
- Purchasing power parity in ASEAN-5 countries: revisit with cross-sectional dependence and structural breaks pp. 233-249

- Qaiser Munir, Sook Ching Kok, Hooi Hooi Lean and Tamara Teplova
- Monetary versus fiscal policy in India: an SVAR analysis pp. 250-274

- Sanchit Arora
- Liquidity operations during the financial crisis 2008/09: evidence from the relations between Korean won onshore and offshore markets pp. 275-289

- Helen Ghebrezghi
- Permanent productivity shocks, migration and the labour wedge: business cycles in South Africa pp. 290-303

- Tomoya Suzuki
- Evaluating India’s exchange rate regime under global shocks pp. 304-321

- Ashima Goyal
- List of referees - Volume 11 pp. 322-322

- The Editors
Volume 11, issue 2, 2018
- Relationship between inflation and relative price variability in India pp. 107-123

- Manjusha Senapati and Pushpa Trivedi
- Evaluating underlying inflation measures for Russia pp. 124-145

- Elena Deryugina, Alexey Ponomarenko, Andrey Sinyakov and Constantine Sorokin
- Drivers and impact of food inflation in India pp. 146-168

- Rudrani Bhattacharya and Abhijit Sen Gupta
- Ownership, evergreening and crisis: an analysis of bank–firm relationships in India pp. 169-194

- Saibal Ghosh
- Stock performance and economic growth: lessons from the Japanese case pp. 195-217

- Lucas Bretschger and Filippo Lechthaler
- Understanding and managing interest rate risk at banks pp. 218-231

- Viral Acharya
Volume 11, issue 1, 2018
- The quest for non-resource-based FDI: Do taxes matter? pp. 1-18

- Tidiane Kinda
- The sources of country and industry variations in ASEAN pp. 19-35

- Meng-Horng Lee, Chee-Wooi Hooy and Terence Tai Leung Chong
- Inflation volatility and economic growth in Bolivia: a regional analysis pp. 36-46

- Casto Montero Kuscevic, Marco Del Río Rivera and J. Sebastian Leguizamon
- Currency futures market in India: an empirical analysis of market efficiency and volatility pp. 47-84

- Golak Nath and Manoel Pacheco
- An evaluation of alternative approaches to the application of cash reserve requirements in Nigeria pp. 85-106

- Friday K. Ohuche and Joseph Nnanna
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