Citations for "Stock Market Openings: Experience of Emerging Economies"
by Kim, E Han & Singal, Vijay
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- Wei Huang, 2006.
"Emerging Markets, Financial Openness and Financial Development,"
Bristol Economics Discussion Papers
06/588, Department of Economics, University of Bristol, UK.
- Duc NGUYEN, 2008.
"An empirical analysis of structural changes in emerging market volatility,"
Economics Bulletin,
AccessEcon, vol. 6(10), pages 1-10.
- Mendiola, Alfredo, 2010.
"Adr Effects On Domestic Latin Maerica Financial Market,"
Journal of Economics, Finance and Administrative Science,
Universidad ESAN, vol. 15(28), pages 45-64.
- Moore, Winston, 2010.
"Managing the Process of Removing Capital Controls: What Does the Literature Suggest?,"
MPRA Paper
21584, University Library of Munich, Germany.
- Peter Blair Henry, 2007.
"Capital Account Liberalization: Theory, Evidence, and Speculation,"
Journal of Economic Literature,
American Economic Association, vol. 45(4), pages 887-935, December.
- Henry, Peter B., 2007.
"Capital Account Liberalization: Theory, Evidence, and Speculation,"
Research Papers
1974, Stanford University, Graduate School of Business.
- Peter Blair Henry, 2006.
"Capital account liberalization: theory, evidence, and speculation,"
Working Paper Series
2007-32, Federal Reserve Bank of San Francisco.
- Peter Blair Henry, 2006.
"Capital Account Liberalization: Theory, Evidence, and Speculation,"
NBER Working Papers
12698, National Bureau of Economic Research, Inc.
- Henry, Peter B., 2006.
"Capital Account Liberalization: Theory, Evidence, and Speculation,"
Research Papers
1951, Stanford University, Graduate School of Business.
- Alagidede, Paul & Panagiotidis, Theodore & Zhang, Xu, 2010.
"Why a diversified portfolio should include African assets,"
Stirling Economics Discussion Papers
2010-15, University of Stirling, Division of Economics.
- Paul Alagidede & Theodore Panagiotidis & Xu Zhang, 2010.
"Why a Diversified Portfolio Should Include African Assets,"
Working Paper Series
33_10, The Rimini Centre for Economic Analysis.
- Paul Alagidede & Theodore Panagiotidis & Xu Zhang, 2010.
"Why a diversified portfolio should include African assets,"
Discussion Paper Series
2010_17, Department of Economics, University of Macedonia, revised Nov 2010.
- Paul Alagidede & Theodore Panagiotidis & Xu Zhang, 2010.
"Why a Diversified Portfolio Should Include African Assets,"
Koç University-TUSIAD Economic Research Forum Working Papers
1034, Koc University-TUSIAD Economic Research Forum.
- Anusha Chari & Peter Blair Henry, 2002.
"Risk Sharing and Asset Prices: Evidence From a Natural Experiment,"
NBER Working Papers
8988, National Bureau of Economic Research, Inc.
- M. Ayhan Kose & Eswar Prasad & Kenneth S. Rogoff & Shang-Jin Wei, 2006.
"Financial Globalization: A Reappraisal,"
NBER Working Papers
12484, National Bureau of Economic Research, Inc.
- M Ayhan Kose & Eswar Prasad & Kenneth Rogoff & Shang-Jin Wei, 2009.
"Financial Globalization: A Reappraisal,"
IMF Staff Papers,
Palgrave Macmillan, vol. 56(1), pages 8-62, April.
- M. Ayhan Kose & Eswar Prasad & Kenneth Rogoff & Shang-Jin Wei, 2009.
"Financial Globalization: A Reappraisal,"
Panoeconomicus,
Savez ekonomista Vojvodine, Novi Sad, Serbia, vol. 56(2), pages 143-197, June.
- Kose, Ayhan & Prasad, Eswar & Rogoff, Kenneth & Wei, Shang-Jin, 2006.
"Financial Globalization: A Reappraisal,"
CEPR Discussion Papers
5842, C.E.P.R. Discussion Papers.
- M. Ayhan Kose & Eswar Prasad & Kenneth Rogoff & Shang-Jin Wei, 2006.
"Financial Globalization: A Reappraisal,"
IMF Working Papers
06/189, International Monetary Fund.
- Lucey, Brian M. & Zhang, QiYu, 2011.
"Financial integration and emerging markets capital structure,"
Journal of Banking & Finance,
Elsevier, vol. 35(5), pages 1228-1238, May.
- Richard Podpiera & Tomás Dvorák, 2005.
"European Union Enlargement and Equity Markets in Accession Countries,"
IMF Working Papers
05/182, International Monetary Fund.
- Yoshihiko Tsukuda & Tatsuyoshi Miyakoshi & Junji Shimada, 2005.
"Dynamic Efficiency in the East European Emerging Markets,"
Asia-Pacific Financial Markets,
Springer, vol. 12(2), pages 159-179, June.
- Hali J. Edison & Francis E. Warnock, 2004.
"U.S. Investors' Emerging Market Equity Portfolios: A Security-Level Analysis,"
The Review of Economics and Statistics,
MIT Press, vol. 86(3), pages 691-704, August.
- Phylaktis, Kate & Ravazzolo, Fabiola, 2004.
"Currency risk in emerging equity markets,"
Emerging Markets Review,
Elsevier, vol. 5(3), pages 317-339, September.
- Orlov, Alexei G., 2006.
"Capital controls and stock market volatility in frequency domain,"
Economics Letters,
Elsevier, vol. 91(2), pages 222-228, May.
- Bley, Jorg, 2011.
"Are GCC stock markets predictable?,"
Emerging Markets Review,
Elsevier, vol. 12(3), pages 217-237, September.
- de Jong, Frank & de Roon, Frans A., 2005.
"Time-varying market integration and expected returns in emerging markets,"
Journal of Financial Economics,
Elsevier, vol. 78(3), pages 583-613, December.
- Rodolfo Martell & Rene M. Stulz, 2003.
"Equity market liberalizations as country IPOs,"
NBER Working Papers
9481, National Bureau of Economic Research, Inc.
- Tai, Chu-Sheng, 2007.
"Market integration and contagion: Evidence from Asian emerging stock and foreign exchange markets,"
Emerging Markets Review,
Elsevier, vol. 8(4), pages 264-283, December.
- Kim, Jaemin & Yoo, Sean Sehyun, 2009.
"Market liberalization and foreign equity portfolio selection in Korea,"
Journal of Multinational Financial Management,
Elsevier, vol. 19(3), pages 206-220, July.
- Thomas O'Connor & Todd Mitton, 2008.
"Investability and Firm Value,"
Economics, Finance and Accounting Department Working Paper Series
n1920508.pdf, Department of Economics, Finance and Accounting, National University of Ireland - Maynooth.
- Hamao, Yasushi & Mei, Jianping, 2001.
"Living with the "enemy": an analysis of foreign investment in the Japanese equity market,"
Journal of International Money and Finance,
Elsevier, vol. 20(5), pages 715-735, October.
- Schmukler, Sergio & Versperoni, Esteban, 2000.
"Globalization and firms'financing choices - evidence from emerging economies,"
Policy Research Working Paper Series
2323, The World Bank.
- Nicola Fuchs-Schündeln & Norbert Funke, 2003.
"Stock market liberalizations: Financial and macroeconomic implications,"
Review of World Economics (Weltwirtschaftliches Archiv),
Springer, vol. 139(4), pages 730-761, December.
- Ferreira, Miguel A. & Laux, Paul A., 2009.
"Portfolio flows, volatility and growth,"
Journal of International Money and Finance,
Elsevier, vol. 28(2), pages 271-292, March.
- Zaiter Lahimer, Mahjouba, 2011.
"L’impact des entrées de capitaux privés sur la croissance économique dans les pays en développement,"
Open Access publications from Université Paris-Dauphine
urn:hdl:123456789/7670, Université Paris-Dauphine.
- Das, Mitali & Mohapatra, Sanket, 2003.
"Income inequality: the aftermath of stock market liberalization in emerging markets,"
Journal of Empirical Finance,
Elsevier, vol. 10(1-2), pages 217-248, February.
- Saoussen Ben Gamra & Mickaël Clévenot, 2006.
"Libéralisation financière et crises bancaires dans les pays émergents,"
Working Papers
hal-00188615, HAL.
- Benson Durham, J., 2002.
"The effects of stock market development on growth and private investment in lower-income countries,"
Emerging Markets Review,
Elsevier, vol. 3(3), pages 211-232, September.
- Panicos Demetriades & Michaeil Karoglou & Siong Hook Law, 2007.
"Financial Liberalisation and Breaks in Stock Market Volatility: Evidence from East Asia,"
Money Macro and Finance (MMF) Research Group Conference 2006
162, Money Macro and Finance Research Group.
- Ghosh, Chinmoy & Harding, John & Phani, B.V., 2008.
"Does liberalization reduce agency costs? Evidence from the Indian banking sector,"
Journal of Banking & Finance,
Elsevier, vol. 32(3), pages 405-419, March.
- Henry, Peter B. & Chari, Anusha, 2001.
"Stock Market Liberalizations and the Repricing of Systematic Risk,"
Research Papers
1677, Stanford University, Graduate School of Business.
- Christoffersen, Peter & Chung, Hyunchul & Errunza, Vihang, 2006.
"Size matters: The impact of financial liberalization on individual firms,"
Journal of International Money and Finance,
Elsevier, vol. 25(8), pages 1296-1318, December.
- Mohamed El Hedi Arouri & Duc Khuong Nguyen, 2010.
"Time-varying characteristics of cross-market linkages with empirical application to Gulf stock markets,"
Managerial Finance,
Emerald Group Publishing, vol. 36(1), pages 57-70, January.
- Edison, Hali J. & Warnock, Francis E., 2003.
"A simple measure of the intensity of capital controls,"
Journal of Empirical Finance,
Elsevier, vol. 10(1-2), pages 81-103, February.
- Duasa, Jarita & Kassim, Salina, 2008.
"Hot money and economic performance: An empirical analysis,"
MPRA Paper
12470, University Library of Munich, Germany.
- Bae, Kee-Hong & Goyal, Vidhan K., 2010.
"Equity market liberalization and corporate governance,"
Journal of Corporate Finance,
Elsevier, vol. 16(5), pages 609-621, December.
- Jaleel, Fazeel M. & Samarakoon, Lalith P., 2009.
"Stock market liberalization and return volatility: Evidence from the emerging market of Sri Lanka,"
Journal of Multinational Financial Management,
Elsevier, vol. 19(5), pages 409-423, December.
- Michail Karoglou & Panicos Demetriades & Siong Law, 2011.
"One date, one break?,"
Empirical Economics,
Springer, vol. 41(1), pages 7-24, August.
- Ameer, Rashid, 2007.
"What moves the primary stock and bond markets? Influence of macroeconomic factors on bond and equity issues in Malaysia and Korea,"
MPRA Paper
19656, University Library of Munich, Germany.
- Bank for International Settlements, 2009.
"Capital flows and emerging market economies,"
CGFS Papers,
Bank for International Settlements, number 33.
- Bansal, Ravi & Dahlquist, Magnus, 2001.
"Sovereign Risk and Return in Global Equity Markets,"
CEPR Discussion Papers
3034, C.E.P.R. Discussion Papers.
- Ameer, Rashid, 2010.
"The role of institutional investors in the inventory and cash management practices of firms in Asia,"
Journal of Multinational Financial Management,
Elsevier, vol. 20(2-3), pages 126-143, July.
- Francis, Bill B. & Hasan, Iftekhar & Hunter, Delroy M., 2002.
"Emerging market liberalization and the impact on uncovered interest rate parity,"
Journal of International Money and Finance,
Elsevier, vol. 21(6), pages 931-956, November.
- Bank for International Settlements & Hong Kong Institute for Monetary Research, 2008.
"Regional financial integration in Asia: present and future,"
BIS Papers,
Bank for International Settlements, number 42, March.
- Saoussen Ben Gamra & Mickaël Clévenot, 2006.
"Libéralisation financière et crises bancaires dans les pays émergents,"
CEPN Working Papers
hal-00188615, HAL.
- Peter Henry, 2007.
"Capital Account Liberalization: Theory, Evidence, and Speculation,"
Discussion Papers
07-004, Stanford Institute for Economic Policy Research.
- Laopodis, Nikiforos T., 2004.
"Financial market liberalization and stock market efficiency: Evidence from the Athens Stock Exchange,"
Global Finance Journal,
Elsevier, vol. 15(2), pages 103-123, August.
- Kian-Ping Lim & Hock-Ann Lee & Venus Khim-Sen Liew, 2003.
"International Diversification Benefits in ASEAN Stock Markets: a Revisit,"
Finance
0308003, EconWPA.
- Kim, Jaemin & Landi, James & Yoo, Sean Sehyun, 2009.
"Inter-temporal examination of the trading activities of foreign investors in the Korean stock market,"
Pacific-Basin Finance Journal,
Elsevier, vol. 17(2), pages 243-256, April.
- Bank for International Settlements, 2008.
"Integration of India's stock market with global and major regional markets,"
BIS Papers chapters,
in: Bank for International Settlements (ed.), Regional financial integration in Asia: present and future, volume 42, pages 202-236
Bank for International Settlements.
- Lahcen ACHY, 2004.
"Financial liberalization, saving, investment and growth in MENA countries,"
Finance
0411004, EconWPA.
- Cajueiro, Daniel O. & Gogas, Periklis & Tabak, Benjamin M., 2009.
"Does financial market liberalization increase the degree of market efficiency? The case of the Athens stock exchange,"
International Review of Financial Analysis,
Elsevier, vol. 18(1-2), pages 50-57, March.
- Varadi, Vijay Kumar & Boppana, Nagarjuna, 2009.
"Are stock exchanges integrated in the world? - A critical Analysis,"
MPRA Paper
15902, University Library of Munich, Germany.
- Umutlu, Mehmet & Akdeniz, Levent & Altay-Salih, Aslihan, 2010.
"The degree of financial liberalization and aggregated stock-return volatility in emerging markets,"
Journal of Banking & Finance,
Elsevier, vol. 34(3), pages 509-521, March.
- Norbert Funke, 2002.
"Stock Market Developments and Private Consumer Spending in Emerging Markets,"
IMF Working Papers
02/238, International Monetary Fund.
- Alexander Guembel, 2001.
"Emerging Markets and Entry by Actively Managed Funds,"
Economics Series Working Papers
2001-FE-12, University of Oxford, Department of Economics.
- Lim, Kian-Ping & Brooks, Robert D. & Kim, Jae H., 2008.
"Financial crisis and stock market efficiency: Empirical evidence from Asian countries,"
International Review of Financial Analysis,
Elsevier, vol. 17(3), pages 571-591, June.
- Chan, Kalok & Covrig, Vicentiu & Ng, Lilian, 2009.
"Does home bias affect firm value? Evidence from holdings of mutual funds worldwide,"
Journal of International Economics,
Elsevier, vol. 78(2), pages 230-241, July.
- Iwata, Shigeru & Wu, Shu, 2009.
"Stock market liberalization and international risk sharing,"
Journal of International Financial Markets, Institutions and Money,
Elsevier, vol. 19(3), pages 461-476, July.
- Patro, Dilip K. & Wald, John K., 2005.
"Firm characteristics and the impact of emerging market liberalizations,"
Journal of Banking & Finance,
Elsevier, vol. 29(7), pages 1671-1695, July.
- Jayasuriya, Shamila, 2005.
"Stock market liberalization and volatility in the presence of favorable market characteristics and institutions,"
Emerging Markets Review,
Elsevier, vol. 6(2), pages 170-191, June.
- Han Kim, E. & Singal, Vijay, 2000.
"The fear of globalizing capital markets,"
Emerging Markets Review,
Elsevier, vol. 1(3), pages 183-198, November.
- Shackman, Joshua D., 2006.
"The equity premium and market integration: Evidence from international data,"
Journal of International Financial Markets, Institutions and Money,
Elsevier, vol. 16(2), pages 155-179, April.
- Mitton, Todd, 2006.
"Stock market liberalization and operating performance at the firm level,"
Journal of Financial Economics,
Elsevier, vol. 81(3), pages 625-647, September.
- Ben Slimane, FATEN, 2007.
"L'Evolution des Marchés Boursiers Européens: Enjeux et limites
[European Stock Market Evolution],"
MPRA Paper
2607, University Library of Munich, Germany.
- Frank de Jong & Frans A. de Roon, 2001.
"Time-Varying Market Integration and Expected Returns in Emerging Markets,"
Tinbergen Institute Discussion Papers
01-113/2, Tinbergen Institute.
- Diego Alonso Agudelo Rueda & Milena Castaño, 2011.
"Do foreign portfolio flows increase risk in emerging stock markets? Evidence from six Latin American countries 1999 -2008,"
DOCUMENTOS DE TRABAJO CIEF
010663, UNIVERSIDAD EAFIT.
- Sara B. Holland & Francis E. Warnock, 2003.
"Firm-level access to international capital markets: evidence from Chilean equities,"
International Finance Discussion Papers
753, Board of Governors of the Federal Reserve System (U.S.).
- Kim, Bonghoon & Kenny, Lawrence W., 2007.
"Explaining when developing countries liberalize their financial equity markets,"
Journal of International Financial Markets, Institutions and Money,
Elsevier, vol. 17(4), pages 387-402, October.
- Boubakri, Narjess & Hamza, Olfa, 2007.
"The dynamics of privatization, the legal environment and stock market development,"
International Review of Financial Analysis,
Elsevier, vol. 16(4), pages 304-331.
- Ehsan Ahmed & Honggang Li & J. Barkley Rosser, 2006.
"Nonlinear bubbles in Chinese Stock Markets in the 1990s,"
Eastern Economic Journal,
Eastern Economic Association, vol. 32(1), pages 1-18, Winter.
- Ritab Al-Khouri & Abdulkhader Abdallah, 2012.
"Market liberalization and volatility of returns in emerging markets: The case of Qatar Exchange (QSC),"
International Journal of Islamic and Middle Eastern Finance and Management,
Emerald Group Publishing, vol. 5(2), pages 106-115, June.
- Hock-Ann Lee & Kian-Ping Lim & Venus Khim-Sen Liew, 2009.
"Is There Any International Diversification Benefits in ASEAN Stock Markets?,"
Economics Bulletin,
AccessEcon, vol. 29(1), pages 392-406.
- Iqbal, Javed, 2008.
"Stock Market in Pakistan: An Overview,"
MPRA Paper
11868, University Library of Munich, Germany.
- Jaap van der Hart & Erica Slagter & Dick van Dijk, 2001.
"Stock Selection Strategies in Emerging Markets,"
Tinbergen Institute Discussion Papers
01-009/4, Tinbergen Institute.
- repec:ebl:ecbull:v:6:y:2008:i:10:p:1-10 is not listed on IDEAS
- Hunter, Delroy M., 2006.
"The evolution of stock market integration in the post-liberalization period - A look at Latin America,"
Journal of International Money and Finance,
Elsevier, vol. 25(5), pages 795-826, August.