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Content
2015, Volume 25, Issue C
- 69-91 The political determinants of executive compensation: Evidence from an emerging economy
by Liang, Hao & Renneboog, Luc & Sun, Sunny Li
- 92-124 Benchmarking the financial performance, growth, and outreach of greenfield MFIs in Africa
by Cull, Robert & Harten, Sven & Nishida, Ippei & Rusu, Anca Bogdana & Bull, Greta
- 125-153 Does the Euro affect the dynamic relation between stock market liquidity and the business cycle?
by Smimou, K. & Khallouli, W.
- 154-162 Competition in the banking sector: New evidence from a panel of emerging market economies and the financial crisis
by Apergis, Nicholas
- 163-175 FX funding risks and exchange rate volatility
by Ree, Jack Joo K. & Yoon, Kyoungsoo & Park, Hail
- 176-190 Microlevel impacts of remittances on household behavior: Viet Nam case study
by Bui, Thi Thanh Nga & Le, Thi Thanh Ngan & Daly, Kevin James
2015, Volume 24, Issue C
- 1-12 The formulation of the four factor model when a considerable proportion of firms is dual-listed
by Garyn-Tal, Sharon & Lauterbach, Beni
- 13-33 Impact of changes in the CSI 300 Index constituents
by Wang, Chuan & Murgulov, Zoltan & Haman, Janto
- 34-45 The effects of fiscal opacity on sovereign credit spreads
by Peat, Maurice & Svec, Jiri & Wang, Jue
- 46-68 Causality between inflation and inflation uncertainty in South Africa: Evidence from a Markov-switching vector autoregressive model
by Nasr, Adnen Ben & Balcilar, Mehmet & Ajmi, Ahdi N. & Aye, Goodness C. & Gupta, Rangan & van Eyden, Reneé
- 69-80 Financing decisions and gains from cross-border acquisitions by emerging-market acquirers
by Aybar, Bülent & Thanakijsombat, Thanarerk
- 81-100 Testing for stock return predictability in a large Chinese panel
by Westerlund, Joakim & Narayan, Paresh Kumar & Zheng, Xinwei
- 101-121 Are Sharia stocks, gold and U.S. Treasury hedges and/or safe havens for the oil-based GCC markets?
by Mensi, Walid & Hammoudeh, Shawkat & Reboredo, Juan C. & Nguyen, Duc Khuong
- 122-148 Corruption and bank risk-taking: Evidence from emerging economies
by Chen, Minghua & Jeon, Bang Nam & Wang, Rui & Wu, Ji
- 149-159 CEO career concerns and investment efficiency: Evidence from China
by Xie, Jun
- 160-187 Regional and global spillovers and diversification opportunities in the GCC equity sectors
by Balcılar, Mehmet & Demirer, Rıza & Hammoudeh, Shawkat
2015, Volume 23, Issue C
- 1-25 Options and central bank currency market intervention: The case of Colombia
by Keefe, Helena Glebocki & Rengifo, Erick W.
- 26-45 Price manipulation, front running and bulk trades: Evidence from India
by Chaturvedula, Chakrapani & Bang, Nupur Pavan & Rastogi, Nikhil & Kumar, Satish
- 46-67 The case against active pension funds: Evidence from the Turkish Private Pension System
by Gökçen, Umut & Yalçın, Atakan
- 68-95 Rights issues and creeping acquisitions in India
by Jetley, Gaurav & Mondal, Shamim S.
- 96-123 Financing in an emerging economy: Does financial development or financial structure matter?
by Castro, Fernanda & Kalatzis, Aquiles E.G. & Martins-Filho, Carlos
- 124-147 Pricing, dynamics, and determinants of illiquidity risks: International evidence
by Saad, Mohsen & Samet, Anis
- 148-172 Capital budgeting practices: A survey of Central and Eastern European firms
by Andor, Gyorgy & Mohanty, Sunil K. & Toth, Tamas
- 173-185 Testing the liquidity preference hypothesis using survey forecasts
by Ornelas, Jose Renato Haas & Silva Jr., Antonio Francisco de Almeida
- 186-207 Value relevance, earnings management and corporate governance in China
by Shan, Yuan George
- 208-229 Financial sector in resource-dependent economies
by Kurronen, Sanna
2015, Volume 22, Issue C
- 1-17 Government ownership and the cost of debt for Chinese listed corporations
by Shailer, Greg & Wang, Kun
- 18-24 Measuring stock market contagion: Local or common currency returns?
by Mink, Mark
- 25-42 Emerging market hedge funds in the United States
by Park, Hyuna
- 43-64 Are the KOSPI 200 implied volatilities useful in value-at-risk models?
by Kim, Jun Sik & Ryu, Doojin
- 65-75 Matching the BRIC equity premium: A structural approach
by Curatola, Giuliano & Donadelli, Michael & Grüning, Patrick
- 76-95 Military regimes and stock market performance
by Civilize, Sireethorn & Wongchoti, Udomsak & Young, Martin
- 96-125 Exchange risk premia and firm characteristics
by Chung, Hyunchul & Majerbi, Basma & Rizeanu, Sorin
- 126-139 Emerging market local currency bonds: Diversification and stability
by Miyajima, Ken & Mohanty, M.S. & Chan, Tracy
- 140-153 Role of off-balance sheet operations on bank scale economies: Evidence from China's banking sector
by Hou, Xiaohui & Wang, Qing & Li, Cheng
- 154-175 Determinants of corporate listings on stock markets in Sub-Saharan Africa: Evidence from Ghana
by Acquaah, Moses
2014, Volume 21, Issue C
- 1-20 Does investor recognition matter for asset pricing?
by Hacıbedel, Burcu
- 21-41 The adverse selection cost component of the spread of Brazilian stocks
by Araújo, Gustavo Silva & Barbedo, Claudio Henrique da S. & Vicente, José Valentim M.
- 42-66 The effect of IFRS on earnings management in Brazilian non-financial public companies
by Pelucio-Grecco, Marta Cristina & Geron, Cecília Moraes Santostaso & Grecco, Gerson Begas & Lima, João Paulo Cavalcante
- 67-81 How do momentum strategies ‘score’ against individual investors in Taiwan, Hong Kong and Korea?
by Hung, Chi-Hsiou D. & Banerjee, Anurag N.
- 82-95 Analysing China's foreign direct investment in manufacturing from a high–low technology perspective
by Liu, Kelly & Daly, Kevin & Varua, Maria Estela
- 96-116 Exchange risk and asset returns: A theoretical and empirical study of an open economy asset pricing model
by Huang, Lin & Wu, Jia & Zhang, Rui
- 117-132 Price discovery process in the emerging sovereign CDS and equity markets
by Ngene, Geoffrey M. & Kabir Hassan, M. & Alam, Nafis
- 133-155 Conditional pricing of currency risk in Africa's equity markets
by Kodongo, Odongo & Ojah, Kalu
- 156-182 Exchange rate regimes and foreign exchange exposure: The case of emerging market firms
by Ye, Min & Hutson, Elaine & Muckley, Cal
- 183-200 Dependence of stock and commodity futures markets in China: Implications for portfolio investment
by Hammoudeh, Shawkat & Nguyen, Duc Khuong & Reboredo, Juan Carlos & Wen, Xiaoqian
- 201-233 The global financial crisis: An analysis of the spillover effects on African stock markets
by Sugimoto, Kimiko & Matsuki, Takashi & Yoshida, Yushi
- 234-264 The impact of economic openness on standard of living and income inequality in eight countries
by Dong, Fang
- 265-287 Corporate foreign currency borrowing and investment: The case of Hungary
by Endrész, Marianna & Harasztosi, Péter
2014, Volume 20, Issue C
- 1-22 Identifying risks in emerging market sovereign and corporate bond spreads
by Zinna, Gabriele
- 23-41 VaR performance during the subprime and sovereign debt crises: An application to emerging markets
by Del Brio, Esther B. & Mora-Valencia, Andrés & Perote, Javier
- 42-57 Understanding the sovereign credit ratings of emerging markets
by Erdem, Orhan & Varli, Yusuf
- 58-74 Emerging market sovereign bond spreads and shifts in global market sentiment
by Csontó, Balázs
- 75-88 Market structure, risk taking, and the efficiency of Chinese commercial banks
by Hou, Xiaohui & Wang, Qing & Zhang, Qi
- 89-108 Dual-class unifications and corporate governance in Brazil
by Bortolon, Patrícia M. & Câmara Leal, Ricardo P.
- 109-135 Political connections and operational performance of non-financial firms: New evidence from Poland
by Jackowicz, Krzysztof & Kozłowski, Łukasz & Mielcarz, Paweł
- 136-151 Does the decision to issue public debt affect firm valuation? Russian evidence
by Davydov, Denis & Nikkinen, Jussi & Vähämaa, Sami
- 152-175 Market impacts of trades for stocks listed on the Borsa Istanbul
by Aktas, Osman Ulas & Kryzanowski, Lawrence
- 176-195 The evolution of corporate governance in Brazil
by Black, Bernard S. & de Carvalho, Antonio Gledson & Sampaio, Joelson Oliveira
2014, Volume 19, Issue C
- 1-17 Do global factors impact BRICS stock markets? A quantile regression approach
by Mensi, Walid & Hammoudeh, Shawkat & Reboredo, Juan Carlos & Nguyen, Duc Khuong
- 18-48 Idiosyncratic volatility and mergers and acquisitions in emerging markets
by Zhu, PengCheng & Jog, Vijay & Otchere, Isaac
- 49-76 The empirics of banking regulation
by Tchana Tchana, Fulbert
- 77-95 Can institutions and macroeconomic factors predict stock returns in emerging markets?
by Narayan, Paresh Kumar & Narayan, Seema & Thuraisamy, Kannan Sivananthan
- 96-105 Commodity prices and exchange rate volatility: Lessons from South Africa's capital account liberalization
by Arezki, Rabah & Dumitrescu, Elena & Freytag, Andreas & Quintyn, Marc
- 106-127 What factors explain stock market retardation in Islamic Countries
by Dewandaru, Ginanjar & Rizvi, Syed Aun R. & Bacha, Obiyathulla I. & Masih, Mansur
2014, Volume 18, Issue C
- 1-18 Determinants of domestic credit levels in emerging markets: The role of external factors
by Gozgor, Giray
- 19-33 Venture capital, corporate governance, and financial stability of IPO firms
by Liao, Woody M. & Lu, Chia-Chi & Wang, Hsuan
- 34-44 Exchange rate fluctuations and international portfolio rebalancing
by Gyntelberg, Jacob & Loretan, Mico & Subhanij, Tientip & Chan, Eric
- 45-61 Do emerging markets become more efficient as they develop? Long memory persistence in equity indices
by Hull, Matthew & McGroarty, Frank
- 62-77 Nonfinancial companies as large shareholders alleviate financial constraints of Brazilian firm
by Crisóstomo, Vicente Lima & López-Iturriaga, Félix Javier & Vallelado González, Eleuterio
- 78-100 Can time-varying risk premiums explain the excess returns in the interest rate parity condition?
by Aysun, Uluc & Lee, Sanglim
- 101-122 Foreign shocks and international cost of equity destabilization. Evidence from the MENA region
by Guyot, Alexis & Lagoarde-Segot, Thomas & Neaime, Simon
- 123-140 Risk–return trade-off in the pacific basin equity markets
by Cheng, Ai-Ru & Jahan-Parvar, Mohammad R.
2013, Volume 17, Issue C
- 1-13 Experience-based corporate corruption and stock market volatility: Evidence from emerging markets
by Lau, Chi Keung Marco & Demir, Ender & Bilgin, Mehmet Huseyin
- 14-28 An analysis of forward exchange rate biasedness across developed and developing country currencies: Do observed patterns persist out of sample?
by Loring, Grace & Lucey, Brian
- 29-43 Bond markets co-movement dynamics and macroeconomic factors: Evidence from emerging and frontier markets
by Piljak, Vanja
- 44-59 Financial market liberalization and the pricing of idiosyncratic risk
by Huang, Biqing & Wald, John & Martell, Rodolfo
- 60-75 Sovereign bond spreads determinants in Latin American countries: Before and during the XXI financial crisis
by Martinez, Lisana B. & Terceño, Antonio & Teruel, Mercedes
- 76-88 Determinants of dividend smoothing in emerging market: The case of Korea
by Jeong, Jinho
- 89-105 Duration, trading volume and the price impact of trades in an emerging futures market
by Bowe, Michael & Hyde, Stuart & McFarlane, Lavern
- 106-124 Measuring financial market integration in the European Union: EU15 vs. New Member States
by Pungulescu, Crina
- 125-149 Banking sector reforms and corporate leverage in emerging markets
by Ağca, Şenay & De Nicolò, Gianni & Detragiache, Enrica
- 150-168 Internet-based corporate disclosure and market value: Evidence from Latin America
by Garay, Urbi & González, Maximiliano & Guzmán, Alexander & Trujillo, María Andrea
- 169-185 Bond yields in emerging economies: It matters what state you are in
by Jaramillo, Laura & Weber, Anke
- 186-208 Financial liberalization and stock markets efficiency: New evidence from emerging economies
by Ben Rejeb, Aymen & Boughrara, Adel
- 209-223 Credit cycle dependent spread determinants in emerging sovereign debt markets
by Riedel, Christoph & Thuraisamy, Kannan S. & Wagner, Niklas
- 224-240 The effectiveness of forex interventions in four Latin American countries
by Broto, Carmen
2013, Volume 16, Issue C
- 1-30 Financial sector ups and downs and the real sector in the open economy: Up by the stairs, down by the parachute
by Aizenman, Joshua & Pinto, Brian & Sushko, Vladyslav
- 31-45 The volatility effect in emerging markets
by Blitz, David & Pang, Juan & van Vliet, Pim
- 46-65 Size, value, and momentum in emerging market stock returns
by Cakici, Nusret & Fabozzi, Frank J. & Tan, Sinan
- 66-77 Volatility transmission in regional Asian stock markets
by Abbas, Qaisar & Khan, Sabeen & Shah, Syed Zulfiqar Ali
- 78-99 How do accounting standards and insiders' incentives affect earnings management? Evidence from China
by Zhang, Yuyang & Uchida, Konari & Bu, Hua
- 100-118 Similarities and differences among cross-border M&A and greenfield FDI determinants: Evidence from Asia and Oceania
by Nagano, Mamoru
- 119-130 Which firms are more prone to stock market manipulation?
by Imisiker, Serkan & Tas, Bedri Kamil Onur
- 131-144 The market response of insider transferring trades and firm characteristics in Taiwan
by Chang, Chiao-Yi
- 145-169 Separating the wheat from the chaff: Understanding portfolio returns in an emerging market
by Eterovic, Nicolas A. & Eterovic, Dalibor S.
- 170-182 The Tunisian stock market index volatility: Long memory vs. switching regime
by Charfeddine, Lanouar & Ajmi, Ahdi Noomen
- 183-202 Dove or Hawk? Characterizing monetary policy regime switches in India
by Hutchison, Michael M. & Sengupta, Rajeswari & Singh, Nirvikar
- 203-222 Analyzing the likelihood and the impact of earnout offers on acquiring company wealth gains in India
by Kohli, Reena & Mann, Bikram Jit Singh
2013, Volume 15, Issue C
- 1-33 Corporate governance in emerging markets: A survey
by Claessens, Stijn & Yurtoglu, B. Burcin
- 34-56 Property rights, R&D spillovers, and corporate accounting transparency in China
by Fan, Joseph P.H. & Gillan, Stuart L. & Yu, Xin
- 57-71 Corporate governance and investment-cash flow sensitivity: Evidence from emerging markets
by Francis, Bill & Hasan, Iftekhar & Song, Liang & Waisman, Maya
- 72-91 Executive integrity, audit opinion, and fraud in Chinese listed firms
by Chen, Jiandong & Cumming, Douglas & Hou, Wenxuan & Lee, Edward
- 92-106 Early warning indicators of asset price boom/bust cycles in emerging markets
by Ponomarenko, Alexey
- 107-121 Dynamic return predictability in the Russian stock market
by Kinnunen, Jyri
- 122-135 Do the production-based factors capture the time-varying patterns in stock returns?
by Kang, Hankil & Kang, Jangkoo & Lee, Changjun
- 136-147 The influence of bank ownership on credit supply: Evidence from the recent financial crisis
by Fungáčová, Zuzana & Herrala, Risto & Weill, Laurent
- 148-159 Debt source choices and stock market performance of Russian firms during the financial crisis
by Davydov, Denis & Vähämaa, Sami
- 160-185 On the political determinants of sovereign risk: Evidence from a Markov-switching vector autoregressive model for Argentina
by Sottile, Pedro
- 186-210 A risk-based explanation of return patterns—Evidence from the Polish stock market
by Waszczuk, Antonina
- 211-232 Do mutual fund managers exploit the Ramadan anomaly? Evidence from Turkey
by Białkowski, Jędrzej & Bohl, Martin T. & Kaufmann, Philipp & Wisniewski, Tomasz P.
- 233-254 Banking competition in Africa: Subregional comparative studies
by Fosu, Samuel
2012, Volume 13, Issue 4
- 411-423 The use of Fx derivatives and the cost of capital: Evidence of Brazilian companies
by Coutinho, João Ricardo Ribeiro & Sheng, Hsia Hua & Lora, Mayra Ivanoff
- 424-448 Can emerging market central banks bail out banks? A cautionary tale from Latin America
by Jacome H., Luis I. & Saadi Sedik, Tahsin & Townsend, Simon
- 449-464 Choosing an optimal investment strategy: The role of robust pair-copulas based portfolios
by Mendes, Beatriz Vaz de Melo & Marques, Daniel S.
- 465-477 The relationship between liquidity, corporate governance, and firm valuation: Evidence from Russia
by Li, Wei-Xuan & Chen, Clara Chia-Sheng & French, Joseph J.
- 478-492 Cross-sectional determinants of bank performance under deposit dollarization in emerging markets
by Kutan, Ali M. & Ozsoz, Emre & Rengifo, Erick W.
- 493-515 Crisis, internal governance mechanisms and pension fund performance: Evidence from Poland
by Jackowicz, Krzysztof & Kowalewski, Oskar
- 516-547 Corporate governance, agency problems and international cross-listings: A defense of the bonding hypothesis
by Karolyi, G. Andrew
- 548-558 Regional differences in development of life insurance markets in China
by Pan, Guochen & Chang, Hsu-Ling & Su, Chi-Wei
- 559-580 Industry and country factors in emerging market returns: Did the Asian crisis make a difference?
by Bai, Ye & Green, Christopher J. & Leger, Lawrence
- 581-597 Does socially responsible investment equity indexes in emerging markets pay off? Evidence from Brazil
by Ortas, Eduardo & Moneva, José M. & Salvador, Manuel
- 598-625 Emerging market sovereign bond spreads: Estimation and back-testing
by Comelli, Fabio
- 626-649 Family firms and financial performance: The cost of growing
by González, Maximiliano & Guzmán, Alexander & Pombo, Carlos & Trujillo, María-Andrea
- 650-673 Financial development and the evolution of property rights and legal institutions
by Miletkov, Mihail & Wintoki, M. Babajide
2012, Volume 13, Issue 3
- 256-267 Global excess liquidity and asset prices in emerging countries: A PVAR approach
by Brana, Sophie & Djigbenou, Marie-Louise & Prat, Stéphanie
- 268-282 The global financial crisis, financial linkages and correlations in returns and volatilities in emerging MENA stock markets
by Neaime, Simon
- 283-300 Financial openness, disclosure and bank risk-taking in MENA countries
by Bourgain, Arnaud & Pieretti, Patrice & Zanaj, Skerdilajda
- 301-315 The 2007–2008 financial crisis: Is there evidence of disaster myopia?
by Cornand, Camille & Gimet, Céline
- 316-337 Financial sector development and access to finance. Does size say it all?
by Gimet, Céline & Lagoarde-Segot, Thomas
- 338-351 The impact of residual government ownership in privatized firms: New evidence from China
by Liao, Jing & Young, Martin
- 352-365 Understanding Brazilian companies' foreign exchange exposure
by Rossi Júnior, José Luiz
- 366-380 The value impact of international and industrial diversifications on public‐listed firms in Malaysia
by Lee, Kian-Tek & Hooy, Chee-Wooi & Hooy, Guat-Khim
2012, Volume 13, Issue 2
- 101-117 Audit quality in common-law and code-law emerging markets: Evidence on earnings conservatism, agency costs and cost of equity
by Iatridis, George Emmanuel
- 118-148 Theory and practice of corporate finance: Evidence and distinctive features in Latin America
by Maquieira, Carlos P. & Preve, Lorenzo A. & Sarria-Allende, Virginia
- 149-158 Evaluating the performance of global emerging markets equity exchange-traded funds
by Blitz, David & Huij, Joop
- 159-183 Emerging markets research: Trends, issues and future directions
by Kearney, Colm
- 184-201 Price jumps in Visegrad-country stock markets: An empirical analysis
by Hanousek, Jan & Novotný, Jan
- 202-209 Can market frictions really explain the price impact asymmetry of block trades? Evidence from the Saudi Stock Market
by Alzahrani, Ahmed A. & Gregoriou, Andros & Hudson, Robert
- 210-229 Emerging economies' attraction of foreign direct investment
by Groh, Alexander Peter & Wich, Matthias
- 230-252 Return and volatility spillovers among CIVETS stock markets
by Korkmaz, Turhan & Çevik, Emrah İ. & Atukeren, Erdal
2012, Volume 13, Issue 1
- 1-7 The roles of news and volatility in stock market correlations during the global financial crisis
by Mun, Melissa & Brooks, Robert
- 8-25 Size, value and liquidity. Do They Really Matter on an Emerging Stock Market?
by Lischewski, Judith & Voronkova, Svitlana
- 26-41 Currency depreciations, financial transfers, and firm heterogeneity
by Brei, Michael & Charpe, Matthieu
- 42-57 Bank competition in Russia: An examination at different levels of aggregation
by Anzoategui, Diego & Pería, María Soledad Martínez & Melecky, Martin
- 58-77 Temporal dimension and equilibrium exchange rate: A FEER/BEER comparison
by Lòpez-Villavicencio, Antonia & Mazier, Jacques & Saadaoui, Jamel
- 78-99 To liberalize or not to liberalize: Political and economic determinants of financial liberalization
by Kaya, Ilker & Lyubimov, Konstantin & Miletkov, Mihail
2011, Volume 12, Issue 4
- 309-320 Geographical focus in emerging markets and hedge fund performance
by Kotkatvuori-Örnberg, Juha & Nikkinen, Jussi & Peltomäki, Jarkko
- 321-337 Exchange rate exposure: A nonparametric approach
by Aysun, Uluc & Guldi, Melanie
- 338-353 The role of the stock market in the provision of Islamic development finance: Evidence from Sudan
by Hearn, Bruce & Piesse, Jenifer & Strange, Roger
- 354-370 Regional financial integration in the GCC
by Espinoza, Raphael & Prasad, Ananthakrishnan & Williams, Oral
- 371-388 Monetary autonomy in emerging market economies: The role of foreign reserves
by Taguchi, Hiroyuki
- 389-398 The determinants of China's outward foreign direct investment
by Zhang, Xiaoxi & Daly, Kevin
- 399-417 Housing wealth effect in emerging economies
by Ciarlone, Alessio
- 418-431 Stock market correlations between China and its emerging market neighbors
by Jayasuriya, Shamila A.
- 432-442 Analysing interconnectivity among economies
by Wong, Alfred Y-T. & Fong, Tom Pak Wing
- 443-459 Relationship between portfolio diversification and value at risk: Empirical evidence
by Kiani, Khurshid M.
- 460-484 Financial integration and currency risk premium in CEECs: Evidence from the ICAPM
by Boubakri, Salem & Guillaumin, Cyriac
- 485-509 Foreign equity flows and the “Size Bias”: Evidence from an emerging stock market
by Diyarbakirlioglu, Erkin
September 2011, Volume 12, Issue 3
- 205-216 Explaining over-subscription in fixed-price IPOs -- Evidence from the Malaysian stock market
by Low, Soo-Wah & Yong, Othman
- 217-237 Are GCC stock markets predictable?
by Bley, Jorg
- 238-249 On the performance of emerging market equity mutual funds
by Huij, Joop & Post, Thierry
- 250-271 Emerging country cross-border acquisitions: Characteristics, acquirer returns and cross-sectional determinants
by Bhagat, Sanjai & Malhotra, Shavin & Zhu, PengCheng
- 272-292 Stock market volatility and exchange rates in emerging countries: A Markov-state switching approach
by Walid, Chkili & Chaker, Aloui & Masood, Omar & Fry, John
- 293-307 Calendar anomalies in the Gulf Cooperation Council stock markets
by Ariss, Rima Turk & Rezvanian, Rasoul & Mehdian, Seyed M.
June 2011, Volume 12, Issue 2
- 79-93 Demography, credit and institutions: A global perspective
by Rabah, Arezki
- 94-110 Efficiency and bank profitability in MENA countries
by Olson, Dennis & Zoubi, Taisier A.
- 111-129 Eastern and Western European firms public and private information quality: The comparative impact of degree of implementation of IFRS
by Djatej, Arsen & Gao, Grace & Sarikas, Robert H.S. & Senteney, David L.
- 130-151 The impact of corporate governance measures on the performance of West African IPO firms
by Hearn, Bruce
- 152-170 Performance and characteristics of acquiring firms in the Chinese stock markets
by Chi, Jing & Sun, Qian & Young, Martin
- 171-188 Governance, monitoring and foreign investment in Chinese companies
by Mishra, Anil V. & Ratti, Ronald A.
- 189-203 Risk and return characteristics of Islamic equity funds
by Hayat, Raphie & Kraeussl, Roman
March 2011, Volume 12, Issue 1
- 1-20 The effects of bank regulations, competition, and financial reforms on banks' performance
by Naceur, Sami Ben & Omran, Mohammed
- 21-46 Modelling size and liquidity in North African industrial sectors
by Hearn, Bruce
- 47-60 Emerging market benefits, investability and the rule of law
by Buchanan, Bonnie G. & English II, Philip C. & Gordon, Rachel
- 61-78 The impact of oil price shocks on stock market returns: Comparing GCC countries with the UK and USA
by Fayyad, Abdallah & Daly, Kevin
December 2010, Volume 11, Issue 4
- 301-318 Emerging art markets
by Kraeussl, Roman & Logher, Robin
- 319-340 The relation between firm-level corporate governance and market value: A case study of India
by Balasubramanian, N. & Black, Bernard S. & Khanna, Vikramaditya
- 341-357 Firms in the great global recession: The role of foreign ownership and financial dependence
by Kolasa, Marcin & Rubaszek, Michal & Taglioni, Daria
- 358-372 Oil shocks and stock returns: The case of the Central and Eastern European (CEE) oil and gas sectors
by Mohanty, Sunil & Nandha, Mohan & Bota, Gabor
- 373-389 On the estimation of the cost of equity in Latin America
by Grandes, Martin & Panigo, Demian T. & Pasquini, Ricardo A.
- 390-403 Re-examining the impact of foreign bank participation on interest margins in emerging markets
by Poghosyan, Tigran
- 404-408 Availability of financial services and income inequality: The evidence from many countries
by Mookerjee, Rajen & Kalipioni, Paul
September 2010, Volume 11, Issue 3
- 183-204 The sequencing of stock market liberalization events and corporate financing decisions
by Flavin, Thomas & O'Connor, Thomas
- 205-228 Economic determinates, financial crisis and entry modes of foreign banks into emerging markets
by Hryckiewicz, Aneta & Kowalewski, Oskar
- 229-249 The role of macroeconomic variables in sovereign risk
by Matsumura, Marco S. & Vicente, José Valentim Machado
- 250-260 Global and regional spillovers in emerging stock markets: A multivariate GARCH-in-mean analysis
by Beirne, John & Caporale, Guglielmo Maria & Schulze-Ghattas, Marianne & Spagnolo, Nicola
- 261-272 The predictive power of the yield spread in timing the stock market
by Bhaduri, Saumitra & Saraogi, Ravi
- 273-284 Determinants of capital inflows into Asia: The relevance of contagion effects as push factors
by Brana, Sophie & Lahet, Delphine
- 285-299 New evidence on the pricing and performance of initial public offerings in Thailand, 1997-2008
by Chorruk, Jirapun & Worthington, Andrew C.
June 2010, Volume 11, Issue 2
- 79-97 Split sovereign ratings and rating migrations in emerging economies
by Al-Sakka, Rasha & ap Gwilym, Owain
- 98-105 Subjective perceptions of financing constraints: How well do they reflect credit market conditions?
by Bouton, Lawrence & Tiongson, Erwin R.
- 106-118 Law, regulation and institutions for financial development: Evidence from India
by Rathinam, Francis Xavier & Raja, Angara V.
- 119-151 On the relationship between economic freedom and equity returns in the emerging markets: Evidence from the Middle East and North Africa (MENA) stock markets
by Smimou, Kamal & Karabegovic, Amela
- 152-172 How far apart are the two ACUs from each other? Asian currency unit and Asian currency union
by Watanabe, Shingo & Ogura, Masanobu
- 173-182 The role of domestic fundamentals on the economic vulnerability of emerging markets
by Rocha, Katia & Moreira, Ajax
March 2010, Volume 11, Issue 1