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 7, issue 2, 2014
- The benefits and costs of financial market liberalization pp. 205-207

- Ashima Goyal and Subrata Sarkar
- Banking sector development and economic growth in ARF countries: the role of stock markets pp. 208-229

- 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

- Aymen Ben Rejeb and Adel Boughrara
- Time-varying financial spillovers from the US to frontier markets pp. 246-283

- Galin Todorov and Prasad Bidarkota
- Financial fluctuations in the Tunisian repressed market context: a Markov-switching-GARCH approach pp. 284-302

- Ali Chebbi, Raoudha Louafi and Amel Hedhli
- Market fragmentation of securities market: traditional exchanges versus alternate trading venues pp. 303-314

- Rasmeet Kohli
Volume 7, issue 1, 2014
- Introduction: understanding volatility in emerging markets pp. 1-3

- Ashima Goyal
- Consequences of asset shortages in emerging markets pp. 4-35

- Jiaqian Chen and Patrick Imam
- Interest rate pass-through in India pp. 36-60

- Nandini Sengupta
- Perverse liquidity effect of monetary policy: some evidence for India pp. 61-82

- Ganti Subrahmanyam, Sridhar Telidevara and Debashis Acharya
- Is there a J-curve for Azerbaijan? New evidence from industry-level analysis pp. 83-98

- Mohsen Bahmani-Oskooee, Salman Huseynov and Rustam Jamilov
- Output--employment relationship across employment status: evidence from Turkey pp. 99-121

- 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

- Sajal Ghosh and Kakali Kanjilal
- A Structural VAR (SVAR) analysis of fiscal shocks on current accounts in India pp. 140-153

- Suresh K.G. and Aviral Tiwari
- Assessing exchange rate dynamics of East Africa: fragmented or integrated? pp. 154-174

- Masafumi Yabara
- Volatility spillover in the foreign exchange market: the Indian experience pp. 175-194

- Saurabh Ghosh
- Evolving regulations and emerging market challenges -- the Indian context pp. 195-204

- G. Padmanabhan
Volume 6, issue 2, 2013
- International portfolio diversification: an ICAPM approach with currency risk pp. 177-189

- Dimitrios Dimitriou and Theodore Simos
- Quantifying the effects of capital controls in small states pp. 190-203

- Winston Moore
- Why persistent high inflation impedes growth? An empirical assessment of threshold level of inflation for India pp. 204-220

- Sitikantha Pattanaik and G. V. Nadhanael
- Financial dollarization in Russia: causes and consequences pp. 221-243

- Alexey Ponomarenko, Alexandra Solovyeva and Elena Vasilieva
- Global integration and emerging stock market excess returns pp. 244-279

- Michael Donadelli
- Financial intermediation and economic growth: the post-liberalization Indian experience pp. 280-294

- Agnirup Sarkar
- Perspectives on risk and governance pp. 295-309

- Anand Sinha
Volume 6, issue 1, 2013
- State ownership, credit risk and bank competition: a mixed oligopoly approach pp. 1-13

- Bibhas Saha and Rudra Sensarma
- Government size and economic growth in emerging market economies: a panel co-integration approach pp. 14-38

- Arpita Ghose and Sutapa Das
- Different statistical core inflation measures for India: construction and evaluation pp. 39-65

- Motilal Anand Bicchal, Naresh Kumar Sharma and Bandi Kamaiah
- Inflation--growth nexus: some bivariate EGARCH evidence for Bangladesh pp. 66-76

- Biru Paksha Paul
- Sectoral effects of disinflation: Evidence from India pp. 77-87

- S. Raja Sethu Durai and M Ramachandran
- Cost efficiency of Kazakhstan and Russian banks: results from competing panel data models-super-1 pp. 88-113

- Subal Kumbhakar and Anatoly Peresetsky
- Firm investment, finance constraint and voluntary asset sales: the evidence from Indian manufacturing firms pp. 114-130

- Vikash Gautam and Rajendra Vaidya
- Firm failure and relationship lending in an emerging economy: new evidence from small businesses pp. 131-145

- Jose Gomez-Gonzalez and Nidia Reyes
- Financial crises and emerging stock markets volatility: do internal factors matter? pp. 146-165

- Aymen Ben Rejeb and Ousama Ben Salha
- Globalization of Chinese firms, location choice, and socio-cultural milieu pp. 166-176

- Jason Gurtovoy and Xiaohua Yang
Volume 5, issue 2, 2012
- Introduction: the risks and the rewards of greater openness pp. 135-138

- Ashima Goyal, Subrata Sarkar and Sushanta Mallick
- The behaviour of the real exchange rate and current account pp. 139-160

- Gil Kim, Lian An and Yoonbai Kim
- What determines the sensitivity of the real exchange rate in Colombia to a terms of trade shock? pp. 161-176

- Lavan Mahadeva and Juan Parra-Alvarez
- Capital controls and exchange rate regime: case study of India pp. 177-186

- Ramya Ghosh
- Sovereign wealth funds, portfolio choice and corrective taxes pp. 187-196

- Jostein Tvedt
- Financial liberalization and consumption volatility: explaining heterogeneity across countries pp. 197-212

- Fassil Fanta
- Do Gulf Cooperation Countries' equity markets waltz or tango to spillovers? pp. 213-227

- Tahsin Saadi Sedik and Oral Williams
- Basel l and Basel ll compliance issues for banks in India pp. 228-245

- Sreejata Banerjee
- Price stability, financial stability, and sovereign debt sustainability policy challenges from the new trilemma pp. 246-259

- Duvvuri Subbarao
- Global economic governance: IMF quota reform pp. 260-280

- Arvind Virmani
- Sovereign wealth funds and emerging economies -- reap the good; leave the bad pp. 281-296

- Venkatachalam Shunmugam
- Panel: Asian financial integration pp. 297-305

- Ashima Goyal, Joseph Cherian, Bejoy Das Gupta, Syetarn Hansakul, Veerathai Santiprabhob and Peter Wolff
Volume 5, issue 1, 2012
- Inflation variability and the relationship between inflation and growth pp. 3-17

- Raghbendra Jha and Tu Ngoc Dang
- A monetary policy model for India pp. 18-41

- Michael Debabrata Patra and Muneesh Kapur
- Evaluating the effectiveness of exchange rate bands in reducing inflation pp. 42-61

- Tu N. Dang
- Financial development and economic growth in Egypt pp. 62-77

- Amr Hosny
- Investor perceptions and equity-sovereign bond return correlation: revisiting the Mexican Peso Crisis pp. 78-93

- James Refalo, Hsing Fang, Jong Yi and Golak C. Nath
- Short sale constraints: the impact on the return distribution pp. 94-107

- Manoj Dalvi, Christos Giannikos and Eleni Gousgounis
- India's fiscal and monetary framework: growth in an opening economy pp. 108-123

- Ashima Goyal
- Dual class shares -- is India ready for it? pp. 124-135

- Aditya Jadhav
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