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Editor: Jonathan A. Batten
Series handle: RePEc:eee:ememar
ISSN: 1566-0141
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Content
December 2001, Volume 2, Issue 4
September 2001, Volume 2, Issue 3
- 197-217 Country risk, country risk indices and valuation of FDI: a real options approach
by Nordal, Kjell B.
- 218-243 How to reduce inflation: an independent central bank or a currency board? The experience of the Baltic countries
by de Haan, Jakob & Berger, Helge & van Fraassen, Erik
- 244-262 Monetary policy and the yield curve in an emerging market: the Greek case
by Drakos, Konstantinos
- 263-279 Does the inflation rate affect the performance of the stock market? The case of Egypt
by Omran, Mohammed & Pointon, John
- 280-291 Structural change and the bid-ask spread: evidence from the Johannesburg Stock Exchange (JSE)
by Michello, Franklin A.
- 292-308 Efficiency, scale and scope economies in the Ukrainian banking sector in 1998
by Mertens, Alexander & Urga, Giovanni
June 2001, Volume 2, Issue 2
- 89-108 The corporate governance behavior and market value of Russian firms
by Black, Bernard
- 109-137 Privatisation: politics, institutions, and financial markets
by Bortolotti, Bernardo & Fantini, Marcella & Siniscalco, Domenico
- 138-160 State of corruption in transition: case of the Czech Republic
by Lizal, Lubomir & Kocenda, Evzen
- 161-183 Poland: a successful transition to budget sustainability?
by Green, Christopher J. & Holmes, Mark J. & Kowalski, Tadeusz
- 184-197 Demand uncertainty and the capital-labour ratio in Poland
by Green, Christopher J. & Lensink, Robert & Murinde, Victor
March 2001, Volume 2, Issue 1
- 1-16 The development of the GKO futures market in Russia
by Peresetsky, A. & Turmuhambetova, G. & Urga, G.
- 17-33 The profitability of moving average trading rules in South Asian stock markets
by Gunasekarage, Abeyratna & Power, David M.
- 34-49 Is foreign direct investment a safer form of financing?
by Fernandez-Arias, Eduardo & Hausmann, Ricardo
- 50-66 Emerging markets, downside risk and the asset allocation decision
by Stevenson, Simon
- 67-85 The economic factors behind international legal harmonization: a jurimetric analysis of the Latin American experience
by Buscaglia, Edgardo
- 87-87 Corrigendum to ''Before the fall: were East Asian currencies overvalued?'': [Emerging Markets Review 1 (2000) 101-126]
by Chinn, Menzie D.
November 2000, Volume 1, Issue 3
September 2000, Volume 1, Issue 2
May 2000, Volume 1, Issue 1