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Content
2020, Volume 42, Issue C
- 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.
- 246-273 The effect of listing switches from a growth market to a main board: An alternative perspective
by Park, Jong-Ho & Binh, Ki Beom & Eom, Kyong Shik
- 274-288 Pay-performance sensitivity and risk-taking behaviors: Evidence from closed-end funds
by Yang, Tianna & Hou, Wenxuan
2016, Volume 28, Issue C
- 1-27 Family control, accounting misstatements, and market reactions to restatements: Evidence from China
by Ma, Liangbo & Ma, Shiguang & Tian, Gary
- 28-43 Incubation and copying equity funds in China
by Wang, Yaping & Paek, Miyoun & Ko, Kwangsoo
- 44-60 Panel multi-predictor test procedures with an application to emerging market sovereign risk
by Westerlund, Joakim & Thuraisamy, Kannan
- 61-88 Multiple directorships, family ownership and the board nomination committee: International evidence from the GCC
by Eulaiwi, Baban & Al-Hadi, Ahmed & Taylor, Grantley & Al-Yahyaee, Khamis Hamed & Evans, John
- 89-104 Banking competition and firm-level financial constraints in Latin America
by Álvarez, Roberto & Bertin, Mauricio Jara
- 105-116 Intraday return predictability, portfolio maximisation, and hedging
by Narayan, Paresh Kumar & Sharma, Susan Sunila
- 117-139 The bank–firm relationship during economic transition: The impacts on bank performance in emerging economies
by Nagano, Mamoru
- 140-154 Calendar trading of Taiwan stock market: A study of holidays on trading detachment and interruptions
by Yang, Ann Shawing
- 155-183 New evidence on hedges and safe havens for Gulf stock markets using the wavelet-based quantile
by Mensi, Walid & Hammoudeh, Shawkat & Tiwari, Aviral Kumar
- 184-202 Impact of terrorist attacks on stock market volatility in emerging markets
by Mnasri, Ayman & Nechi, Salem
- 203-220 Corporate boards, large blockholders and executive compensation in banks: Evidence from Poland
by Słomka-Gołębiowska, Agnieszka & Urbanek, Piotr
- 221-238 The internationalisation of the RMB: New starts, jumps and tipping points
by Batten, Jonathan A. & Szilagyi, Peter G.
2016, Volume 27, Issue C
- 1-13 On time-varying predictability of emerging stock market returns
by Auer, Benjamin R.
- 14-35 Financial crises and contagion vulnerability of MENA stock markets
by Neaime, Simon
- 36-62 Bank market power, ownership, regional presence and revenue diversification: Evidence from Africa
by Nguyen, My & Perera, Shrimal & Skully, Michael
- 63-83 Board structure, controlling ownership, and business groups: Evidence from India
by Chauhan, Yogesh & Dey, Dipanjan Kumar & Jha, Rajneesh Ranjan
- 84-99 Measuring volatility persistence for conventional and Islamic banks: An FI-EGARCH approach
by Fakhfekh, Mohamed & Hachicha, Nejib & Jawadi, Fredj & Selmi, Nadhem & Idi Cheffou, Abdoulkarim
- 100-117 Investor protection and dividend policy: The case of Islamic and conventional banks
by Athari, Seyed Alireza & Adaoglu, Cahit & Bektas, Eralp
- 118-139 Linkages in the term structure of interest rates across sovereign bond markets
by Sowmya, Subramaniam & Prasanna, Krishna & Bhaduri, Saumitra
- 140-168 The role of country-specific fundamentals in sovereign CDS spreads: Eastern European experiences
by Kocsis, Zalan & Monostori, Zoltan
- 169-196 Escaping financial crises? Macro evidence from sovereign wealth funds' investment behaviour
by Ciarlone, Alessio & Miceli, Valeria