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.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
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
Volume 4, issue 2, 2011
- Policy rules under the monetary and the fiscal theories of the price-level pp. 189-212

- Jagjit Chadha
- International propagation of shocks: an evaluation of contagion effects for some Latin American countries pp. 213-233

- Constanza Martínez and Manuel Ramirez
- OTC derivatives market in India: recent regulatory initiatives and open issues for market stability and development pp. 235-261

- Dayanand Arora and Francis Rathinam
- The frequency and size of price changes: evidence from non-parametric estimations pp. 263-268

- Roman Horvath
- Determinants of IPO readiness in emerging markets: the case for Ugandan firms pp. 269-288

- Samuel Sejjaaka
- Latin American stock markets’ volatility spillovers during the financial crises: a multivariate FIAPARCH-DCC framework pp. 289-326

- Chaker Aloui
- The price of protein pp. 327-335

- Subir Gokarn
- The recent microfinance imbroglio -- lessons for regulatory architecture pp. 337-342

- Rajesh Chakrabarti
- Lessons from the financial crisis: failure of markets or failure of regulation? pp. 343-349

- Krishnamurthy Subramanian
Volume 4, issue 1, 2011
- Non-recourse mortgages and credit market breakdowns: a framework for policy analysis pp. 1-8

- Kaushik Basu
- Do economic reforms and human capital explain post-reform growth? pp. 9-34

- Mahbub Rabbani and Svitlana Maksymenko
- A note on modelling economic growth determinants in the Dominican Republic pp. 35-41

- Susan Pozo, José Sánchez-Fung and Amelia Santos-Paulino
- Onshore and offshore market for Indian rupee: recent evidence on volatility and shock spillover pp. 43-55

- Harendra Behera
- Macroeconomic factors and yield curve for the emerging Indian economy pp. 57-83

- Kakali Kanjilal
- Stock market, capital flow and output: some analytical and policy perspectives pp. 85-99

- Rilina Basu and Ranjanendra Narayan Nag
- The relative impacts of banking, infrastructure and labour on industrial growth: evidence from Indian states pp. 101-124

- Rupayan Pal
- Impact of non-traditional activities on the efficiency of Indian banks: an empirical investigation pp. 125-166

- Rachita Gulati and Sunil Kumar
- Macroeconomic uncertainty and corporate liquidity: the Indian case pp. 167-180

- Saumitra Bhaduri and Mrinal Kanti
- State owned banking: gaining policy support and investor interest pp. 181-188

- Bandi Ram Prasad
| |