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Content
2020, Volume 44, Issue C
- S1566014120300649 The value of family control during political uncertainty: Evidence from Thailand's constitutional change in 201411We are grateful for helpful comments and suggestions provided by Shu-Ching Chou, Woochan Kim, Nicolas Eugster, Yu-Shan Wei and participants at the 32nd Australasian Finance and Banking Conference (AFBC) as well as seminar participants at University of Wollongong. We are equally greatful to the two referees whose comments have improved the quality of the paper. All remaining errors are our sole responsibility
by Swanpitak, Tanapond & Pan, Xiaofei & Suardi, Sandy
- S1566014120302429 In search for good news: The relationship between accounting information, bounded rationality and hard-to-value stocks
by Figlioli, Bruno & Lemes, Sirlei & Lima, Fabiano Guasti
2020, Volume 43, Issue C
- S1566014118303327 Arbitrage risk and the cross-section of stock returns: Evidence from China
by Lin, Yu En & Chu, Chien Chi & Omura, Akihiro & Li, Bin & Roca, Eduardo
- S1566014118303789 SME lending and banking system stability: Some mechanisms at work
by Brei, Michael & Gadanecz, Blaise & Mehrotra, Aaron
- S1566014119301104 What causes Chinese listed firms to switch bank loan provider? Evidence from a survival analysis
by Huang, Jiayi & Matthews, Kent & Zhou, Peng
- S1566014119301724 Financing patterns in transition economies: Privatized former SOEs versus ab initio private firms
by Liu, Yu & Sah, Nilesh & Ullah, Barkat & Wei, Zuobao
- S1566014119302031 Intraday-of-the-week effects: What do the exchange rate data tell us?
by Khademalomoom, Siroos & Narayan, Paresh Kumar
- S1566014119302080 What is the best proxy for liquidity in the presence of extreme illiquidity?
by Będowska-Sójka, Barbara & Echaust, Krzysztof
- S1566014119302675 Measuring households' financial vulnerabilities from consumer debt: Evidence from Chile
by Cifuentes, Rodrigo & Margaretic, Paula & Saavedra, Trinidad
- S1566014119304352 Insider trading laws and price informativeness in emerging stock markets: The South African case
by Ojah, Kalu & Muhanji, Stella & Kodongo, Odongo
- S1566014119305114 Central banks' supervisory guidance on corporate governance and bank stability: Evidence from African countries
by Mutarindwa, Samuel & Schäfer, Dorothea & Stephan, Andreas
- S1566014119305229 Individual investors' propensity to speculate and A-share premiums in China's A-shares and H-shares
by Chen, Jun & Tian, Gaoliang & Yang, Fan
- S1566014119305965 Evaluating the risk factors influencing foreign direct investment in Mongolia's mining sector: A complex network approach
by Yang, Ruicheng & Xing, Weize & Hou, Shuxia
- S156601411830428X Linear and nonlinear growth determinants: The case of Mongolia and its connection to China
by Chu, Amanda M.Y. & Lv, Zhihui & Wagner, Niklas F. & Wong, Wing-Keung
- S156601411930007X Firm boundaries, incentives, and fund performance: Evidence from a private pension fund system
by Gökçen, Umut & Özsoy, S. Mehmet & Yalçın, Atakan
- S156601411930010X Corporate social responsibility disclosure in China: Do managerial professional connections and social attention matter?
by Luo, Jinbo & Liu, Qigui
- S156601411930514X International comparison of household asset allocation: Micro-evidence from cross-country comparisons
by Lu, Xiaomeng & Guo, Jiaojiao & Gan, Li
2020, Volume 42, Issue C
- S1566014118302401 Does societal trust make firms more trustworthy?
by Ho, Kung-Cheng & Yen, Huang-Ping & Gu, Yan & Shi, Lisi
- S1566014118302590 Revisiting the impact of institutional quality on post-GFC bank risk-taking: Evidence from emerging countries
by Uddin, Ajim & Chowdhury, Mohammad Ashraful Ferdous & Sajib, Sanjay Deb & Masih, Mansur
- S1566014119300391 Leveraging local knowledge or global advantage: Cross border bank mergers and acquisitions in Africa
by Vanwalleghem, Dieter & Yildirim, Canan & Mukanya, Anthony
- S1566014119301669 Testing factor models in Indonesia
by Foye, James & Valentinčič, Aljoša
- S1566014119302481 Is there an illiquidity premium in frontier markets?
by Stereńczak, Szymon & Zaremba, Adam & Umar, Zaghum
- S1566014119302833 Currency collapses and output dynamics in commodity dependent countries
by Bodart, V. & Carpantier, J.-F.
- S1566014119302985 Institutional investors, selling pressure and crash risk: Evidence from China
by Fan, Yunqi & Fu, Hui
- S1566014119303504 Predicting exchange rate returns
by Narayan, Paresh Kumar & Sharma, Susan Sunila & Phan, Dinh Hoang Bach & Liu, Guangqiang
- S1566014119304078 Do different types of political connections affect corporate investments? Evidence from Malaysia
by Phan, Dinh Hoang Bach & Tee, Chwee Ming & Tran, Vuong Thao
- S1566014119305138 Does going public imply short-termism in investment behavior? Evidence from China
by Yu, Zhuangxiong & Zhang, Jie & Li, Jie
- S1566014119305199 Controlling shareholder share pledging and firm cash dividends
by Li, Wanli & Zhou, Jingting & Yan, Ziqiao & Zhang, He
- S1566014119305242 China: From imitator to innovator?
by Zhan, Feng & Proelss, Juliane & Schweizer, Denis
2019, Volume 41, Issue C
- v:41:y:2019:i:c:s1566014118303029 Government subsidies and corporate investment efficiency: Evidence from China
by Hu, Jinshuai & Jiang, Haiyan & Holmes, Mark
- v:41:y:2019:i:c:s1566014119302936 Hedge accounting choice as exchange loss avoidance under financial crisis: Evidence from Brazil
by Sticca, Ralph Melles & Nakao, Silvio Hiroshi
- v:41:y:2019:i:c:s1566014118303467 Belt and road initiative and Chinese firms' outward foreign direct investment
by Yu, Shu & Qian, Xingwang & Liu, Taoxiong
- v:41:y:2019:i:c:s1566014119301505 Ownership and control in a double decision framework for raising capital
by Khawaja, Mohsin & Bhatti, M. Ishaq & Ashraf, Dawood
- v:41:y:2019:i:c:s1566014119303905 Market power and risk-taking of banks: Some semiparametric evidence from emerging economies
by Wu, Ji & Guo, Mengmeng & Chen, Minghua & Jeon, Bang Nam
- v:41:y:2019:i:c:s1566014118300013 The optimal derivative-based corporate hedging strategies under equity-linked managerial compensation
by Akron, Sagi
- v:41:y:2019:i:c:s1566014119301347 Cost of debt financing: Does political connection matter?
by Khaw, Karren Lee-Hwei & Zainudin, Rozaimah & Rashid, Rasidah Mohd
- v:41:y:2019:i:c:s1566014119300597 Liability driven investment with alternative assets: Evidence from Brazil
by Bernardo, Márcio R. & Campani, Carlos Heitor
- v:41:y:2019:i:c:s1566014119302511 Optimal screening capacity and perceived risk of mortgage banks across countries
by Jacobi, Arie & Tzur, Joseph
2019, Volume 40, Issue C
- 1-1 Stock market trading in the aftermath of an accounting scandal
by Sane, Renuka
- 1-1 Network-based estimation of systematic and idiosyncratic contagion: The case of Chinese financial institutions
by Li, Jingyu & Yao, Yanzhen & Li, Jianping & Zhu, Xiaoqian
- 1-1 Unveiling the effects of foreign exchange intervention: A panel approach
by Adler, Gustavo & Lisack, Noëmie & Mano, Rui C.
- 1-1 Social ties between SME managers and bank employees: Financial consequences vs. SME managers' perceptions
by Jackowicz, Krzysztof & Kozłowski, Łukasz
- 1-1 Does inside debt alleviate banks' risk taking? Evidence from a quasi-natural experiment in the Chinese banking industry
by Deng, Kebin & He, Jing & Kong, Dongmin & Zhang, Jian
- 1-1 Taming financial development to reduce crises
by Naceur, Sami Ben & Candelon, Bertrand & Lajaunie, Quentin
- 1-1 Government ownership and stock liquidity: Evidence from China
by Ding, Mingfa & Suardi, Sandy
- 1-1 Informal institutions and firm valuation
by Hartwell, Christopher A. & Malinowska, Anna P.
- 1-1 Is Indonesia's stock market different when it comes to predictability?
by Sharma, Susan Sunila & Narayan, Paresh Kumar & Thuraisamy, Kannan & Laila, Nisful
- 1-1 Wealth effects on cross-border acquisition firms from emerging economies
by Jain, Samta & Kashiramka, Smita & Jain, P.K.
- 1-1 Does People's Bank of China communication matter? Evidence from stock market reaction
by Bennani, Hamza
- 1-1 Exchange rate effects of US government shutdowns: Evidence from both developed and emerging markets
by Sharma, Susan Sunila & Bach Phan, Dinh Hoang & Narayan, Paresh Kumar
2019, Volume 39, Issue C
- 1-17 Stock pricing in Latin America: The synchronicity effect
by Figlioli, Bruno & Lima, Fabiano Guasti
- 18-33 Corporate fraud, risk avoidance, and housing investment in China
by Niu, Geng & Yu, Li & Fan, Gang-Zhi & Zhang, Donghao
- 34-49 Foreign strategic ownership and minority shareholder protection
by Anderson, Hamish & Chi, Jing & Liao, Jing
- 50-67 Capital structure and speed of adjustment in non-financial firms: Does sharia compliance matter? Evidence from Saudi Arabia
by Alnori, Faisal & Alqahtani, Faisal
- 68-82 The performance of cross-border acquisitions targeting African firms
by Nkiwane, Prince & Chipeta, Chimwemwe
- 83-100 From academic abilities to occupation: What drives stock market participation?
by Vaarmets, Tarvo & Liivamägi, Kristjan & Talpsepp, Tõnn
- 101-119 How does FX liquidity affect the relationship between foreign ownership and stock liquidity?
by Lee, Jieun & Ryu, Doojin
- 120-132 Is there a housing bubble in China?
by Zhi, Tianhao & Li, Zhongfei & Jiang, Zhiqiang & Wei, Lijian & Sornette, Didier
- 133-153 Controlling shareholders and investment-risk sensitivity in an emerging economy
by Caixe, Daniel Ferreira & Kalatzis, Aquiles Elie Guimarães & Castro, Luiz Ricardo Kabbach de
- 154-174 Does downside risk matter more in asset pricing? Evidence from China
by Ali, Heba
- 175-209 Impact of institutional quality on the capital structure of firms in developing countries
by Matemilola, Bolaji Tunde & Bany-Ariffin, A.N. & Azman-Saini, W.N.W. & Nassir, Annuar Md
- 210-224 The Stock Liquidity of Banks: A Comparison between Islamic and Conventional Banks in Emerging Economies
by Boubakri, Narjess & Chen, Ruiyuan & Guedhami, Omrane & Li, Xinming
2019, Volume 38, Issue C
- 1-17 Corruption and cash holdings: Evidence from emerging market economies
by Thakur, Bhanu Pratap Singh & Kannadhasan, M.
- 18-34 Gender differences and managerial earnings forecast bias: Are female executives less overconfident than male executives?
by Lonkani, Ravi
- 35-50 Asymmetric effects of monetary policy on firm scale in China: A quantile regression approach
by Fang, Liting & He, Lerong & Huang, Zhigang
- 51-72 On the failure of mutual fund industry regulation
by Mugerman, Yevgeny & Hecht, Yoel & Wiener, Zvi
- 73-101 The road to currency internationalization: Global perspectives and chinese experience
by Liu, Tao & Wang, Xiaosong & Woo, Wing Thye
- 102-114 Religious beliefs, socially responsible investment, and cost of debt: Evidence from entrepreneurial firms in India
by Li, Changhong & Xu, Yuan & Gill, Amarjit & Haider, Zulfiquer Ali & Wang, Yuan
- 115-141 One country, two systems? The heavy-tailedness of Chinese A- and H- share markets
by Chen, Zhimin & Ibragimov, Rustam
- 142-158 Does mutual fund investment influence accounting fraud?
by Wang, Yang & Ashton, John K. & Jaafar, Aziz
- 159-181 Flight-to-liquidity: Evidence from China's stock market
by Li, Shaoyu & Zhang, Teng & Li, Yingxiang
- 182-196 Local currency bond risk premia: A panel evidence on emerging markets
by Cepni, Oguzhan & Güney, I.Ethem
- 197-218 Economic growth and environmental degradation in Vietnam: Is the environmental Kuznets curve a complete picture?
by Shahbaz, Muhammad & Haouas, Ilham & Hoang, Thi Hong Van
- 219-238 The cross-section of returns in frontier equity markets: Integrated or segmented pricing?
by Zaremba, Adam & Maydybura, Alina
- 239-250 Ex-dividend day price behavior and liquidity in a tax-free emerging market
by Dupuis, Daniel
- 251-264 Capital flow transitions: Domestic factors and episodes of gross capital inflows
by Mercado, Rogelio V.
- 265-286 The cross-section of emerging market stock returns
by Hanauer, Matthias X. & Lauterbach, Jochim G.
- 287-309 Multiple large shareholders and corporate social responsibility reporting
by Cao, Feng & Peng, Songlan (Stella) & Ye, Kangtao
- 310-325 Competition and bank stability in the MENA region: The moderating effect of Islamic versus conventional banks
by Albaity, Mohamed & Mallek, Ray Saadaoui & Noman, Abu Hanifa Md.
- 326-346 Is individual trading priced in the preferred stock discount?
by Park, Cheol & Choi, Paul Moon Sub & Choi, Joung Hwa
- 347-363 On international integration of emerging sovereign bond markets
by Agur, Itai & Chan, Melissa & Goswami, Mangal & Sharma, Sunil
- 364-376 Bitcoin price growth and Indonesia's monetary system
by Narayan, Paresh Kumar & Narayan, Seema & Eki Rahman, R. & Setiawan, Iwan
- 377-388 Unintended effects of IFRS adoption on earnings management: The case of Latin America
by Mongrut, Samuel & Winkelried, Diego
- 389-403 Ultimate parent's board reform and controlling shareholder entrenchment: Evidence from a quasi-natural experiment in China
by Cai, Guilong & Xie, Sujuan & Xu, Yue & Zeng, Yamin & Zhang, Junsheng
- 404-422 Impact of entrenched ultimate owners’ self-dealing on SEO methods choice and discounts of private placements––Evidence from listed companies in China
by Jia, Gang & Li, Wanli & Zhang, He
- 423-437 Portfolio choices, Asset returns and wealth inequality: evidence from China
by Wei, Shang-Jin & Wu, Weixing & Zhang, Linwan
- 438-457 Do investment determinants and effects vary across sovereign wealth fund categories? A firm-level analysis
by Gangi, Francesco & Meles, Antonio & Mustilli, Mario & Graziano, Domenico & Varrone, Nicola
- 458-467 Order imbalances and market efficiency: New evidence from the Chinese stock market
by Zhang, Ting & Gu, Gao-Feng & Zhou, Wei-Xing
- 468-487 Herding behaviour in an emerging market: Evidence from the Moscow Exchange
by Indārs, Edgars Rihards & Savin, Aliaksei & Lublóy, Ágnes
2018, Volume 37, Issue C
- 1-16 Financial connectedness of BRICS and global sovereign bond markets
by Ahmad, Wasim & Mishra, Anil V. & Daly, Kevin J.
- 17-31 Asymmetric linkages among the fear index and emerging market volatility indices
by Badshah, Ihsan & Bekiros, Stelios & Lucey, Brian M. & Uddin, Gazi Salah
- 32-46 Do investors value the nonfinancial disclosure in emerging markets?
by Chauhan, Yogesh & Kumar, Surya B.
- 47-65 SMEs' near-death experiences. Do local banks extend a helping hand?
by Iwanicz-Drozdowska, Małgorzata & Jackowicz, Krzysztof & Kozłowski, Łukasz
- 66-82 Board of director compensation in China: To pay or not to pay? How much to pay?
by Chen, Zonghao & Keefe, Michael O’Connor
- 83-97 Business groups and corporate social responsibility: Evidence from China
by Guo, Mengmeng & He, Luo & Zhong, Ligang
- 98-113 Asymmetric extreme risk spillovers between the Chinese stock market and index futures market: An MV-CAViaR based intraday CoVaR approach
by Jian, Zhihong & Wu, Shuai & Zhu, Zhican
- 114-133 Stock liquidity and ownership structure during and after the 2008 Global Financial Crisis: Empirical evidence from an emerging market
by Tran, Ly Thi Hai & Hoang, Thao Thi Phuong & Tran, Hoa Xuan
- 134-147 A new approach to financial integration and market income inequality
by Inekwe, John Nkwoma & Jin, Yi & Valenzuela, Maria Rebecca
- 148-163 Foreign exchange market intervention and asymmetric preferences
by Keefe, Helena Glebocki & Shadmani, Hedieh
- 164-180 Cyclicality of lending in Africa: The influence of bank ownership
by Zins, Alexandra & Weill, Laurent
- 181-198 Volatility and shock interactions and risk management implications: Evidence from the U.S. and frontier markets
by Ngene, Geoffrey & Post, Jordin A. & Mungai, Ann N.
- 199-222 A comprehensive test of the Fama-French five-factor model in emerging markets
by Foye, James
- 223-244 Private equity performance and capital flows: Evidence from China
by Fang, Hongyan & Nofsinger, John R. & Song, Zhihui & Wang, Shuxun
2018, Volume 36, Issue C
- 1-18 The role of covenants in bond issue. The case of Russian companies
by Bazzana, Flavio & Zadorozhnaya, Anna & Gabriele, Roberto
- 19-27 International financial integration: Stock return linkages and volatility transmission between Vietnam and advanced countries
by Vo, Xuan Vinh & Ellis, Craig
- 28-44 Modeling recovery rates of corporate defaulted bonds in developed and developing countries
by Mili, Medhi & Sahut, Jean-Michel & Teulon, Frédéric
- 45-59 Size, value, profitability, and investment: Evidence from emerging markets
by Leite, André Luis & Klotzle, Marcelo Cabus & Pinto, Antonio Carlos Figueiredo & da Silva, Aldo Ferreira
- 60-78 Does governing law affect bond spreads?
by Ratha, Dilip & De, Supriyo & Kurlat, Sergio
- 79-94 Having the wrong friends at the wrong time: Effects of political turmoil on politically-connected firms
by Dang, Vinh Q.T. & So, Erin P.K.
- 95-109 Limits to arbitrage and the MAX anomaly in advanced emerging markets
by Seif, Mostafa & Docherty, Paul & Shamsuddin, Abul
- 110-129 Government connections and the persistence of profitability: Evidence from Chinese listed firms
by Liu, Li & Liu, Qigui & Tian, Gary & Wang, Peipei
- 130-143 Emerging market corporate bond yields and monetary policy
by Timmer, Yannick
- 144-158 Bilateral adjustment of bank assets: Boom and bust
by Mehigan, Caroline
- 159-179 Technology-investing countries and stock return predictability
by Narayan, Paresh Kumar & Phan, Dinh Hoang Bach & Narayan, Seema
- 180-194 Dynamics of the Turkish paintings market: A comprehensive empirical study
by Demir, Ender & Gozgor, Giray & Sari, Emre
2018, Volume 35, Issue C
- 1-18 Interconnectedness and systemic risk of China's financial institutions
by Wang, Gang-Jin & Jiang, Zhi-Qiang & Lin, Min & Xie, Chi & Stanley, H. Eugene
- 19-30 The role of stock markets on environmental degradation: A comparative study of developed and emerging market economies across the globe
by Paramati, Sudharshan Reddy & Alam, Md Samsul & Apergis, Nicholas
- 31-47 Bank lending, deposits and risk-taking in times of crisis: A panel analysis of Islamic and conventional banks
by Ibrahim, Mansor H. & Rizvi, Syed Aun R.
- 48-68 The determinants of Islamic bank capital decisions
by Bitar, Mohammad & Kabir Hassan, M. & Hippler, William J.
- 69-90 Which is the safe haven for emerging stock markets, gold or the US dollar?
by Wen, Xiaoqian & Cheng, Hua
- 91-110 Housing market sentiment and intervention effectiveness: Evidence from China
by Zhou, Zhengyi
- 111-119 Asymmetric real exchange rates and poverty: The role of remittances
by Apergis, Nicholas & Cooray, Arusha
- 120-136 Can Islamic banks have their own benchmark?
by Azad, A.S.M.S. & Azmat, Saad & Chazi, Abdelaziz & Ahsan, Amirul
- 137-147 Shadow banking in Asia: Foreign versus domestic lending to real estate projects
by Cumming, Douglas & Fleming, Grant & Liu, Zhangxin (Frank)
- 148-163 VC political connections and IPO earnings management
by Wang, Qing (Sophie) & Anderson, Hamish & Chi, Jing
- 164-189 Tail systemic risk and contagion: Evidence from the Brazilian and Latin America banking network
by Rivera-Castro, Miguel A. & Ugolini, Andrea & Arismendi Zambrano, Juan
- 190-206 Systemic risk network of Chinese financial institutions
by Fang, Libing & Sun, Boyang & Li, Huijing & Yu, Honghai
2018, Volume 34, Issue C
- 1-24 Liquidity and macroeconomic management in emerging markets
by Chowdhury, Anup & Uddin, Moshfique & Anderson, Keith
- 25-41 Impact of wage rigidity on sovereign credit rating
by Yang, Daecheon & Song, Jeongseok
- 42-63 Extreme dependence and risk spillovers between oil and Islamic stock markets
by Shahzad, Syed Jawad Hussain & Mensi, Walid & Hammoudeh, Shawkat & Rehman, Mobeen Ur & Al-Yahyaee, Khamis H.
- 64-76 Do financial structures affect exchange rate and stock price interaction? Evidence from emerging markets
by Tang, Xiaobo & Yao, Xingyuan
- 77-86 Assessing the global productive efficiency of Chinese banks using the cross-efficiency interval and VIKOR
by Wu, Meiqin & Li, Changhong & Fan, Jianping & Wang, Xiangyu & Wu, Zhenyu
- 87-97 Risk contribution of the Chinese stock market to developed markets in the post-crisis period
by Yu, Honghai & Fang, Libing & Sun, Boyang & Du, Donglei
- 98-110 Accounting for sovereign tail risk in emerging economies: The role of global and domestic risk factors
by Fong, Tom Pak Wing & Li, Ka-Fai & Fu, John
- 111-123 Local currency systemic risk
by Borri, Nicola
- 124-142 Does global fear predict fear in BRICS stock markets? Evidence from a Bayesian Graphical Structural VAR model
by Bouri, Elie & Gupta, Rangan & Hosseini, Seyedmehdi & Lau, Chi Keung Marco
- 143-161 A tripartite inquiry into volatility-efficiency-integration nexus - case of emerging markets
by Rizvi, Syed Aun R. & Arshad, Shaista & Alam, Nafis
- 162-174 Immunity and infection: Emerging and developed market sovereign spreads over the Global Financial Crisis
by Cayon, Edgardo & Thorp, Susan & Wu, Eliza
- 175-191 Does quality of innovation, culture and governance drive FDI?: Evidence from emerging markets
by Kayalvizhi, P.N. & Thenmozhi, M.
2017, Volume 33, Issue C
- 1-18 The effects of China's aid and trade on its ODI in African countries
by Dong, Yan & Fan, Cijun
- 19-41 Why discouraged borrowers exist? An empirical (re)examination from less developed countries
by Gama, Ana Paula Matias & Duarte, Fábio Dias & Esperança, José Paulo
- 42-61 CEO power and its effect on performance and governance: Evidence from Chinese banks
by Ting, Hsiu-I & Chueh, Horace & Chang, Pang-Ru
- 62-78 All about fun(ds) in emerging markets? The case of equity mutual funds
by Wagner, Moritz & Margaritis, Dimitris
- 79-89 Intraday volatility and the implementation of a closing call auction at Borsa Istanbul
by Inci, A. Can & Ozenbas, Deniz
- 90-101 Identifying bubbles in Latin American equity markets: Phillips-Perron-based tests and linkages
by Escobari, Diego & Garcia, Sergio & Mellado, Cristhian
- 102-139 Sophistication and price impact of foreign investors in the Brazilian stock market
by Gonçalves, Walter & Eid, William
- 140-154 Stock market's response to real output shocks in Eastern European frontier markets: A VARwAL model
by Ülkü, Numan & Kuruppuarachchi, Duminda & Kuzmicheva, Olga
- 155-172 Political risk and the cost of capital in the MENA region
by Belkhir, Mohamed & Boubakri, Narjess & Grira, Jocelyn
- 173-188 Co-movement of exchange rates with interest rate differential, risk premium and FED policy in “fragile economies”
by Özmen, M. Utku & Yılmaz, Erdal
- 189-200 Economic policy uncertainty and cash holdings: Evidence from BRIC countries
by Demir, Ender & Ersan, Oguz
- 201-231 Stock market liquidity, family ownership, and capital structure choices in an emerging country
by ElBannan, Mona A.
2017, Volume 32, Issue C
- 1-27 Analyst coverage network and stock return comovement in emerging markets
by Marcet, Francisco
- 28-37 Corporate governance, bank concentration and economic growth
by Diallo, Boubacar
- 38-51 Information asymmetry and investor trading behavior around bond rating change announcements
by Yang, Heejin & Ahn, Hee-Joon & Kim, Maria H. & Ryu, Doojin
- 52-73 The influence of risk-taking on bank efficiency: Evidence from Colombia
by Sarmiento, Miguel & Galán, Jorge E.
- 74-95 Housing boom, real estate diversification, and capital structure: Evidence from China
by Huang, Jialin & Rong, Zhao
- 96-115 Racing to the exits: International transmissions of funding shocks during the Federal Reserve's taper experiment
by Karolyi, G. Andrew & McLaren, Kirsty J.
- 116-129 Does founder ownership affect foreign investments? Evidence from India
by Chauhan, Yogesh & Kumar, Satish
- 130-147 Diversification potential of Asian frontier, BRIC emerging and major developed stock markets: A wavelet-based value at risk approach
by Mensi, Walid & Shahzad, Syed Jawad Hussain & Hammoudeh, Shawkat & Zeitun, Rami & Rehman, Mobeen Ur
- 148-167 The Determinants of Bond Market Development: Further Evidence from Emerging and Developed Countries
by Smaoui, Houcem & Grandes, Martin & Akindele, Akintoye
- 168-189 Credit funding and banking fragility: A forecasting model for emerging economies
by Guarin, Alexander & Lozano, Ignacio
- 190-199 Domestic mergers and acquisitions in BRICS countries: Acquirers and targets
by Kinateder, Harald & Fabich, Matthias & Wagner, Niklas
- 200-219 Heavy tails and asymmetry of returns in the Russian stock market
by Ankudinov, Andrei & Ibragimov, Rustam & Lebedev, Oleg
2017, Volume 31, Issue C
- 1-15 Digesting anomalies in emerging European markets: A comparison of factor pricing models
by Zaremba, Adam & Czapkiewicz, Anna
- 16-31 Volatility spillover and hedging effectiveness among China and emerging Asian Islamic equity indexes
by Majdoub, Jihed & Ben Sassi, Salim
- 32-46 Spillovers from the United States to Latin American and G7 stock markets: A VAR quantile analysis
by Chuliá, Helena & Guillén, Montserrat & Uribe, Jorge M.
- 47-64 Is the profitability of Indian stocks compensation for risks?
by Narayan, Paresh Kumar & Phan, Dinh Hoang Bach & Bannigidadmath, Deepa
- 65-79 Determinants of asymmetric loss recognition timeliness in public and private firms in Brazil
by Coelho, Antonio Carlos & Galdi, Fernando Caio & Lopes, Alexsandro Broedel
- 80-95 Currency risk and microcredit interest rates
by Al-Azzam, Moh'd & Mimouni, Karim
- 96-115 The kidnapping of Europe: High-order moments' transmission between developed and emerging markets
by Del Brio, Esther B. & Mora-Valencia, Andrés & Perote, Javier
- 116-140 Monetary policy and bank risk-taking: Evidence from emerging economies
by Chen, Minghua & Wu, Ji & Jeon, Bang Nam & Wang, Rui
- 141-163 Noisy prices and the Fama–French five-factor asset pricing model in China
by Lin, Qi
- 164-175 China's slowdown and global financial market volatility: Is world growth losing out?
by Cashin, Paul & Mohaddes, Kamiar & Raissi, Mehdi
- 176-192 Mutual funds and stock market volatility: An empirical analysis of Asian emerging markets
by Qureshi, Fiza & Kutan, Ali M. & Ismail, Izlin & Gee, Chan Sok
- 193-208 The impact of oil price movements on bank non-performing loans: Global evidence from oil-exporting countries
by Al-Khazali, Osamah M. & Mirzaei, Ali
2017, Volume 30, Issue C
- 1-18 The effect of ownership concentration and composition on dividends: Evidence from Latin America
by Gonzalez, Maximiliano & Molina, Carlos A. & Pablo, Eduardo & Rosso, John W.
- 19-41 When secured and unsecured creditors recover the same: The emblematic case of the Tunisian corporate bankruptcies
by Blazy, Régis & Letaief, Aziza
- 42-65 Religion and ratio analysis: Towards an Islamic corporate liquidity measure
by Elnahas, Ahmed M. & Hassan, M. Kabir & Ismail, Ghada M.
- 66-95 The role of Islamic asset classes in the diversified portfolios: Mean variance spanning test
by Dewandaru, Ginanjar & Masih, Rumi & Bacha, Obiyathulla Ismath & Masih, A. Mansur M.
- 96-112 Sovereign wealth funds investment effects on target firms' competitors
by Boubakri, Narjess & Cosset, Jean-Claude & Grira, Jocelyn
- 113-132 The effect of corporate governance on firm value and profitability: Time-series evidence from Turkey
by Ararat, Melsa & Black, Bernard S. & Yurtoglu, B. Burcin
- 133-154 Risk-neutral valuation of the non-recourse protection in reverse mortgages: A case study for Korea
by Kim, Joseph H.T. & Li, Johnny S.H.
- 155-168 Does an IFRS adoption increase value relevance and earnings timeliness in Latin America?
by Rodríguez García, Martha del Pilar & Cortez Alejandro, Klender Aimer & Méndez Sáenz, Alma Berenice & Garza Sánchez, Héctor Horacio
- 169-199 Debt maturity across firm types: Evidence from a major developing economy
by Orman, Cüneyt & Köksal, Bülent
- 200-214 How credit ratings affect sovereign credit risk: Cross-border evidence in Latin American emerging markets
by Ballester, Laura & González-Urteaga, Ana
- 215-231 Commodity price cycles and financial pressures in African commodities exporters
by Kablan, Sandrine & Ftiti, Zied & Guesmi, Khaled
- 232-255 Frontier and emerging government bond markets
by Piljak, Vanja & Swinkels, Laurens
2016, Volume 29, Issue C
- 1-23 Alternative investments in emerging markets: A review and new trends
by Cumming, Douglas & Zhang, Yelin
- 24-41 Do political connections matter in accessing capital markets? Evidence from China
by Bao, Xiaolu & Johan, Sofia & Kutsuna, Kenji
- 42-67 Venture capital investors and foreign listing choices of Chinese companies
by Cheng, Cheng & Schwienbacher, Armin
- 68-81 Political instability, access to private debt, and innovation investment in China
by Cumming, Douglas & Rui, Oliver & Wu, Yiping
- 82-103 Overreaction in ChiNext IPOs' initial returns: How much and what caused it?
by Deng, Qi & Zhou, Zhong-guo
- 104-132 Determinants of venture capital investments in emerging markets
by Groh, Alexander Peter & Wallmeroth, Johannes
- 133-153 Private equity exits in emerging markets
by Johan, Sofia & Zhang, Minjie
- 154-167 Policies of promoting entrepreneurship and Angel Investment: Evidence from China
by Li, Changhong & Shi, Yulin & Wu, Cong & Wu, Zhenyu & Zheng, Li
- 168-199 Heterogeneous venture capital, M&A activity, and market response
by Li, Wanli & Cao, Ting & Feng, Zhaozhen
- 200-225 Red obsession: The ascent of fine wine in China
by Masset, Philippe & Weisskopf, Jean-Philippe & Faye, Benoît & Le Fur, Eric
- 226-245 Venture capitalist participation and the performance of Chinese IPOs
by Otchere, Isaac & Vong, Anna P.I.