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 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
Volume 3, issue 2, 2010
- Financial crisis, efficient bailouts, and regulatory policy pp. 167-188

- T.V.S. Ramamohan Rao
- The coming unwinding of global imbalances and what it means for India pp. 189-212

- Vivekanand Jayakumar
- Assessment of inflationary expectations in India: a Markov chain Monte-Carlo based Gibbs sampling approach pp. 213-225

- Himanshu Joshi
- Bank funding and firm investment in underdeveloped financial markets: evidence from India pp. 227-244

- Mita Choudhury
- The monitoring role of independent directors in CEO pay-performance relationship: the case of Malaysian government linked companies pp. 245-259

- Chee-Wooi Hooy and Tee Chwee-Ming
- Impact of liquidity on stock returns: an empirical investigation of the Tunisian stock market pp. 261-283

- Nadia Loukil, Mohamed Bechir Zayani and Abdelwahed Omri
- Pursuit of complete markets: the missing perspectives pp. 285-297

- Shyamala Gopinath
- Learning from crises pp. 299-307

- Usha Thorat
- Need for pragmatic regulation of markets: the takeaway from the recent financial crisis pp. 309-320

- V. Shunmugam
Volume 3, issue 1, 2010
- Optimal monetary and fiscal policy in a currency union with nontradables pp. 1-23

- Eiji Okano
- Central bank communication and exchange rate volatility: a GARCH analysis pp. 25-31

- Radovan Fiser and Roman Horvath
- Determination of inflation in an open economy Phillips curve framework: the case of developed and developing Asian countries pp. 33-51

- Pami Dua and Upasna Gaur
- Who benefits from financial liberalization? Evidence from advanced and emerging market economies pp. 53-74

- Saoussen Ben Gamra and Dominique Plihon
- Market liquidity and stock size premia in emerging financial markets pp. 75-101

- Bruce Hearn, Jenifer Piesse and Roger Strange
- Ex post and ex ante returns and risks under different maturities of treasury bonds: evidence from developed and emerging markets pp. 103-118

- Medhat Hassanein and Islam Azzam
- The effect of settlement regimes on trading cost and market efficiency: evidence from the National Stock Exchange pp. 119-130

- Manoj Dalvi, James Refalo and Golak Nath
- Global financial crisis and emerging issues for public policy pp. 131-138

- Y. Venugopal Reddy
- Exchange traded currency derivatives markets in India: the road ahead pp. 139-146

- Ranjan Chakravarty and D. G. Praveen
- Credit derivatives: international developments and lessons for India pp. 147-155

- Anuradha Guru
- Coming of age - a comparative study of emerging foreign exchange markets pp. 157-165

- Jamal Mecklai and Anis Shaikh
Volume 2, issue 2, 2009
- Introduction: good luck or good policy? pp. 187-188

- Ashima Goyal
- Macro-economic management of the Indian economy: capital flows, interest rates, and inflation pp. 189-214

- Arvind Virmani
- Capital account liberalization and conduct of monetary policy: the Indian experience pp. 215-238

- Rakesh Mohan
- Indian financial institutions: healthy amid global crises pp. 239-246

- Shyamala Gopinath
- Volatility in interest rates: its impact and management pp. 247-255

- V. Shunmugam and Danish Hashim
- Spread, volatility and monetary policy: empirical evidence from the Indian overnight money market pp. 257-277

- Saurabh Ghosh and Indranil Bhattacharyya
- Precautionary and mercantilist approaches to demand for international reserves: an empirical investigation in the Indian context pp. 279-291

- K. P. Prabheesh, D. Malathy and R. Madhumathi
Volume 2, issue 1, 2009
- Editorial pp. 1-2

- Ashima Goyal
- Modelling the monetary policy reaction function of the Colombian Central Bank pp. 3-11

- Jesus Otero and Manuel Ramirez
- Foreign direct investment, financial development, and economic growth: the case of Malaysia pp. 13-30

- Chee-Keong Choong and Kian-Ping Lim
- Strategic groups and heterogeneous technologies: an application to the US banking industry pp. 31-57

- Dan Wang and Subal Kumbhakar
- Money market microstructure and monetary policy: the Indian experience pp. 59-77

- Indranil Bhattacharyya, Mohua Roy, Himanshu Joshi and Michael Patra
- Bubble in the Indian stock market: myth or reality pp. 79-92

- Saumitra Bhaduri and Mahima Ravi
- The determinants of efficiency of publicly listed Chinese banks: evidence from two-stage banking models pp. 93-133

- Fadzlan Sufian
- Some unpleasant policy challenges from the sub-prime lessons pp. 135-154

- Sitikantha Pattanaik
- Financial regulation: rising to the challenge pp. 155-173

- Bandi Ram Prasad
- Financial crises: reducing pro-cyclicality pp. 173-183

- Ashima Goyal
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