Content
July 2018, Volume 13, Issue 3
- 586-602 An extended dual economy model
by Rajneesh Narula
April 2018, Volume 13, Issue 2
- 310-329 Terrorism, competitiveness, and international marketing: an empirical investigation
by Valbona Zeneli & Michael R. Czinkota & Gary Knight - 330-349 Business-family interface and the performance of women entrepreneurs
by Dianne H.B. Welsh & Eugene Kaciak & Esra Memili & Caroline Minialai - 350-370 Board committees and performance in microfinance institutions
by Muluneh Hideto Dato & Roy Mersland & Neema Mori - 371-390 Use of Big Four auditors and fund raising: evidence from developing and emerging markets
by Leif Atle Beisland & Roy Mersland & Øystein Strøm - 391-409 Deciphering drivers of efficiency of bank branches
by Asish Saha & Lim Hock-Eam & Siew Goh Yeok - 410-430 Diffusion of crisis signals across the world: evidence from subprime crisis of 2008-2009
by Sruthi Rajan & Shijin Santhakumar
January 2018, Volume 13, Issue 1
- 2-26 Understanding international location decisions of poverty alleviation non-profit organizations
by Amila Buddhika Sirisena & Rotem Shneor - 27-44 The development dynamics of business networks
by Douglas Wegner & Susana C. Silva & Greice De Rossi - 45-65 Bank loan loss provisions, investor protection and the macroeconomy
by Peterson K. Ozili - 66-86 The determinants of corporate profitability: an investigation of Indian manufacturing firms
by Swagatika Nanda & Ajaya Kumar Panda - 87-117 Price leadership in the South African foreign-exchange market: an empirical analysis
by Philani Shandu & Gideon Boako & Paul Alagidede - 118-135 Network position of independent director in cross-border mergers and acquisitions
by Chenxi Guo & Ping Lv - 136-161 Developing a GRI-G4-based persuasive communication framework for sustainability reporting (SR)
by Ranjan Kumar & Neerja Pande & Shamama Afreen - 162-184 Exchange rate pass-through to consumer prices in Ghana: is there asymmetry?
by Lordina Amoah & Meshach Jesse Aziakpono - 185-202 Impact analysis of US quantitative easing policy on emerging markets
by Joung-Yol Lin & Munkh-Ulzii John Batmunkh & Massoud Moslehpour & Chuang-Yuang Lin & Ka-Man Lei - 203-217 Dividend policy and stock price volatility of industrial products firms in Malaysia
by Rozaimah Zainudin & Nurul Shahnaz Mahdzan & Chee Hong Yet - 218-230 Bank regulatory capital and liquidity creation: evidence from BRICS countries
by Muhammad Umar & Gang Sun & Khurram Shahzad & Zia-ur-Rehman Rao - 231-248 Funding liquidity risk and bank risk-taking in BRICS countries
by Ahmed Mohamed Dahir & Fauziah Binti Mahat & Noor Azman Bin Ali - 249-266 The socio-economic effects of remittances in the labour-exporting MENA countries
by Ali Awdeh - 267-289 Does Islamic equity investment provide diversification benefits to conventional investors? Evidence from the multivariate GARCH analysis
by Buerhan Saiti & Nazrul Hazizi Noordin - 290-307 Mood, religious experience and the Ramadan effect
by Shaista Wasiuzzaman & Noura Abdullah Al-Musehel
September 2017, Volume 12, Issue 4
- 658-682 Determinants of foreign direct investment in developing countries: a panel data study
by Reenu Kumari & Anil Kumar Sharma - 683-707 The global financial market integration of selected emerging markets
by Nicholas Addai Boamah - 708-726 Active trading and retail investors in Malaysia
by Mohammad Tariqul Islam Khan & Siow-Hooi Tan & Lee-Lee Chong - 727-741 Cointegration and causality between macroeconomic variables and life insurance demand in India
by Biju Mathew & Sunitha Sivaraman - 742-752 Online banking adoption at the bottom of the pyramid: a survey of Chinese migrant workers
by James M. Leonhardt & Rongwei Chu
July 2017, Volume 12, Issue 3
- 418-426 Viewpoint escape FDI from emerging markets: clarifying and extending the concept
by Peter Enderwick - 427-446 Effects of FDI spillover on regional productivity
by Murugesan Ramasamy & Dominic Dhanapal & Poovendhan Murugesan - 447-463 Information technology capability as competitive advantage in emerging markets
by Bharat Arora & Zillur Rahman - 464-487 The development of employee ownership in China
by Niels Mygind & Benjamin Faigen - 488-507 Inward joint venture experience and entry mode choice of Chinese firms abroad
by Xie Qunyong - 508-531 The impact of political regime changes on stock prices: the case of Egypt
by Walid M.A. Ahmed - 532-549 Interest banking spreads in Oman and Arab GCC
by Saeed Al-muharrami & Y. Sree Rama Murthy - 550-571 Does corruption limit FDI and economic growth? Evidence from MENA countries
by Abdelaziz Hakimi & Helmi Hamdi - 572-592 Testing the validation of the financial cooperation agreement among ASEAN+3 stock markets
by Md. Saifur Rahman & Anwar Hasan Abdullah Othman & Farihana Shahari - 593-609 Exploring relationship between learning organizations dimensions and organizational performance
by A. Uday Bhaskar & Bijaya Mishra - 610-624 Convergence or divergence of prosperity within the ASEAN community? A crucial issue for the success of the ASEAN economic community (AEC) process
by Philippe Gugler & Laura Vanoli - 625-636 Emergent strategy in an entrepreneurial firm: the case of Lenovo in its formative years
by Ei (Emily) Shu - 637-655 Leveraging domestic and foreign learning to develop marketing capabilities
by Francesca Checchinato & Lala Hu & Alessandra Perri & Tiziano Vescovi
April 2017, Volume 12, Issue 2
- 142-182 Reverse innovation: a systematic literature review
by Marine Hadengue & Nathalie de Marcellis-Warin & Thierry Warin - 183-198 National societal values and corporate governance
by Mingming Feng & Tony Kang & Sandeep Nabar - 199-218 Antecedents and consequences of consumer ethnocentrism: evidence from South Africa
by Chris Pentz & Nic Terblanche & Christo Boshoff - 219-237 Influence of managers’ time orientation on strategic practices in the UAE
by Ali Abu-Rahma & Bushra Jaleel - 238-262 How Brazilians shop? An investigation of Brazilians’ consumer values, lifestyles and mindset
by Rafael Lucian - 263-278 A comparative analysis of channel incentive programs in Brazil and the USA
by Luciano Thome Castro & Marcos Fava Neves & Jay Taylor Akridge - 279-295 Institutional distance and the performance of foreign subsidiaries in Brazilian host market
by Karim Marini Thomé & Janann Joslin Medeiros & Bruce A. Hearn - 296-309 Determinants of deposits in conventional and Islamic banking: a case of an emerging economy
by Beenish Akhtar & Waheed Akhter & Muhammad Shahbaz - 310-334 How do fiscal adjustments change the income distribution in emerging market economies?
by João Tovar Jalles - 335-351 Asymmetric volatility and conditional expected returns
by Hisham Al Refai & Mohamed Abdelaziz Eissa & Rami Zeitun - 352-365 Volatility spillovers between crude oil price and stock markets: evidence from BRIC countries
by Bhaskar Bagchi - 366-383 Real exchange rates persistence in the West African monetary zone: a revisit of the PPP puzzle
by Bernard Njindan Iyke - 384-399 Value-at-risk and stock returns: evidence from India
by Tariq Aziz & Valeed Ahmad Ansari - 400-414 The pre-acquisition process
by Manuel Portugal Ferreira & Felipe Borini & Simone Vicente & Martinho Ribeiro Almeida
January 2017, Volume 12, Issue 1
- 8-37 Meta-analyses of culture’s consequences for acquisition performance
by Daniel Rottig - 38-57 The influence of culture on real earnings management
by Angel Arturo Pacheco Paredes & Clark Wheatley - 58-78 Institutional distances, resources and entry strategies
by Wiboon Kittilaksanawong - 79-92 An institutional view of the communication flows between relation-based and rule-based countries
by Sandra Simas Graca & Patricia M. Doney & James M. Barry - 93-107 Superior economic performance in developed and developing countries
by Sandra Ruiz & Paulo Arvate & Wlamir Xavier - 108-124 Internationalization and performance of Indian born globals
by Manish B. Ganvir & Neeraj Dwivedi - 125-139 Strategies and competitiveness for emerging countries
by Segundo J. Castro-Gonzales & Maritza I. Espina & Raquel M. Tinoco-Egas
September 2016, Volume 11, Issue 4
- 474-496 Home government influence on Russian MNEs: balancing control against interest
by Andrei Panibratov - 497-513 The influence of institutional factors on MNC’s triple bottom-line reporting
by Boris Urban & Rutendo Hwindingwi - 514-532 Institutional complexity and the strategic behaviors of SMEs in transitional environments
by Yuan Ding & Véronique Malleret & S. Ramakrishna Velamuri - 533-549 Matching organizational frame of reference and business strategy with contemporary marketing practices
by Allam Abu Farha - 550-568 The impact of banking concentration on firm leverage in emerging markets
by Farzin Abadi & A.N. Bany-Ariffin & Ryszard Kokoszczynski & W.N.W. Azman-Saini - 569-583 The impact of financial development on economic growth
by Madhu Sehrawat & A.K. Giri - 584-606 Post-crisis bank behavior: lessons from Mercosur
by Montfort Mlachila & Sarah Sanya - 607-631 Productivity, ownership and firm growth: evidence from Indian banks
by Saibal Ghosh - 632-648 Suitability of the high performance organization framework to Egyptian ICT companies
by André de Waal & Dalia S.F. Habil & Robert Goedegebuure - 649-673 Firm and country specific determinants of capital structure in Sub Saharan Africa
by Chimwemwe Chipeta & Chera Deressa - 674-692 The joint effect of investment motives and institutional context on Russian international acquisitions
by Desislava Dikova & Andrei Panibratov & Anna Veselova & Lyubov Ermolaeva - 693-714 Outward FDI from small developing economies
by Ramon Padilla-Perez & Caroline Gomes Nogueira - 715-746 Dynamic interactions between stock markets and the real economy
by Nikiforos T. Laopodis & Andreas Papastamou
July 2016, Volume 11, Issue 3
- 274-287 How emerging markets firms will become global leaders
by Robert Grosse - 288-315 How do foreign direct investors group by their investments in Turkey and Germany?
by Nurhan Aydin & Gulsah Kulali - 316-332 Does foreign direct investment cause economic growth? A dynamic panel data analysis for SADC countries
by Edmore E Mahembe & Nicholas M Odhiambo - 333-356 The determinants of location choice
by Ping Lv & Francesca Spigarelli - 357-373 Do public support services matter in the multilocation process in China?
by Borja Portero & Francisco Puig - 374-394 Structural equation test of relationship quality
by Ernest Emeka Izogo - 395-418 Cross-border equity flows and market volatility: the case of Qatar Exchange
by Walid M.A. Ahmed - 419-437 Country ETF returns and volatility spillovers in emerging stock markets, Europe and USA
by Burhan F Yavas & Fahimeh Rezayat - 438-459 Capital market openness and volatility: an investigation of five Sub-Saharan treasury bill rates
by Ailie Heather Charteris & Barry Strydom - 460-472 Professionals and their workplaces in emerging markets – a research agenda
by David M. Brock
April 2016, Volume 11, Issue 2
- 121-147 Knowledge will set you free
by Luis Alfonso Dau - 148-174 Experience the “ambience”
by Jun Wu & Anshu Saxena Arora & Amit Arora - 175-189 Reverse innovation antecedents
by Felipe Mendes Borini & Sidney Costa & Moacir de Miranda Oliveira Junior - 190-213 Competitiveness of clusters
by Greici Sarturi & Carlos Augusto França Vargas & João Maurício Gama Boaventura & Silvio Aparecido dos Santos - 214-231 State capitalism and clusters: the case of Brazilian shipbuilding
by Frank L. DuBois & Marcos Andre Mendes Primo - 232-255 Is collective efficiency in subsistence clusters a growth strategy? The case of the wood industry in Oberá, Argentina
by Carlos M. F-Jardon & Regina Negri Pagani - 256-272 The effects of past satisfaction and commitment on the future intention to internationalize
by Jase R Ramsey & Livia Barakat & Matthew C. Mitchell & Thomas Ganey & Olesea Voloshin
January 2016, Volume 11, Issue 1
- 2-17 Institutions and emerging markets: effects and implications for multinational corporations
by Daniel Rottig - 18-41 Institution building and institutional voids
by Sheila M. Puffer & Daniel J McCarthy & Alfred M Jaeger - 42-56 A qualitative case study of MNE legitimacy
by Kathryn Pavlovich & Paresha N Sinha & Mark Rodrigues - 57-71 Informal institutions and technology use by entrepreneurs
by Saurav Pathak & Andre O. Laplume & Emanuel Xavier-Oliveira - 72-88 An ethnographic study of new venture and new sector legitimation
by Romeo V. Turcan & Norman M. Fraser - 89-110 Drivers of successful international business strategy
by Karim Marini Thomé & Janann Joslin Medeiros
September 2015, Volume 10, Issue 4
- 622-633 Use of e-government services: the role of trust
by Mercy Mpinganjira - 634-647 Digital commerce in emerging economies
by Ather Akhlaq & Ejaz Ahmed - 648-669 Market structure, efficiency and profitability of insurance companies in Ghana
by Abdul Latif Alhassan & George Kojo Addisson & Michael E. Asamoah - 670-683 Non-linear modelling of market cycles in South Africa
by Yudhvir Seetharam & James Britten - 684-696 Relevance of fair value of Brazilian banks securities in the financial crisis
by Fernando Chiqueto & Ricardo Luiz Menezes Silva & Guilherme Colossal & L. Nelson G. Carvalho - 697-710 Market structure-performance hypothesis in Kenyan banking industry
by Solomon W. Giorgis Sahile & Daniel Kipkirong Tarus & Thomas Kimeli Cheruiyot - 711-725 Purchasing power parity as a long-term memory process
by Mohamed Bilel Triki & Samir Maktouf - 726-746 An empirical analysis of funds’ alternative measures in the mean absolute deviation (MAD) framework
by Mohammad Reza Tavakoli Baghdadabad - 747-764 Testing three materialism life-course theories in South Africa
by Helen Duh - 765-780 The role of financial development in economic growth: empirical evidence from Indian states
by Madhu Sehrawat & A K Giri - 781-800 Global managers
by Livia L. Barakat & Melanie P Lorenz & Jase R. Ramsey & Sherban L Cretoiu - 801-819 Dissecting sources of price momentum: evidence from India
by Sanjay Sehgal & Kanu Jain - 820-836 A performance evaluation of Chinese mutual funds
by Halil Kiymaz - 837-857 Cultural adaptation in cross-national buyer-seller relationships
by Gøril Voldnes & Kjell Grønhaug - 858-874 Advanced and emerging economies Generation Y’s perception towards country-of-origin
by Nathalia C. Tjandra & Maktoba Omar & John Ensor - 875-895 A helping hand: examining the effect of foreign banks on the business environment
by Christopher A. Hartwell & Bryane Michael - 896-920 Understanding establishment mode choice of foreign manufacturing firms in Ghana
by Samuel Ato Dadzie & Richard Afriyie Owusu
July 2015, Volume 10, Issue 3
- 294-310 Corporate diversification and firm value: evidence from emerging markets
by Elif Akben Selçuk - 311-328 Intensity of shock transmission amid US-BRICS markets
by P. Lakshmi & S. Visalakshmi & Kavitha Shanmugam - 329-349 Estimation and application of a complete demand system for the United Arab Emirates
by Azzeddine Azzam & Belaid Rettab - 350-361 Inflation, its volatility and the inflation-growth tradeoff in India
by Raghbendra Jha & Varsha S. Kulkarni - 362-382 Stock exchange industry in UAE
by Andrea Paltrinieri - 383-408 Regime shifts and volatility in BRIICKS stock markets: an asset allocation perspective
by Wasim Ahmad & Sanjay Sehgal - 409-426 Testing the weak-form efficiency of stock markets
by Jacinta Chikaodi Nwachukwu & Omowunmi Shitta - 427-447 Using downside risk in evaluating the performance of Malaysian mutual funds
by Mohammad Reza Tavakoli Baghdadabad & Masood Fooladi - 448-473 Risk-return tradeoff in Chinese stock markets: some recent evidence
by Menggen Chen - 474-490 An examination of herding behavior in Pakistani stock market
by Zuee Javaira & Arshad Hassan - 491-503 Old wine in a new bottle: money demand causality for 10 Asian countries
by Ahdi Noomen Ajmi & Nicholas Apergis & Ghassen El Montasser - 504-520 The relationship between individual investor sentiment, stock return and volatility
by Mustafa Sayim & Hamid Rahman - 521-534 Time-varying industry beta in Indian stock market and forecasting errors
by Sudipta Das & Parama Barai - 535-559 Regional equity market conditions and cross-border mergers and acquisitions (M & A)
by K. Smimou - 560-571 Market orientation, entrepreneurial orientation and performance in emerging markets
by Tina Gruber-Muecke & Katharina Maria Hofer - 572-597 Legal system uncertainty and FDI attraction in Southeast Asia
by George O. White III & Amon Chizema & Anne Canabal & Mark J. Perry - 598-618 Role of reality TV as a consumer-socialization agent of teenagers in a developing country
by Md Ridhwanul Haq & Syed H Rahman
April 2015, Volume 10, Issue 2
- 178-193 State corporatism and business associations in China
by Jonathan Unger & Anita Chan - 194-208 Understanding China’s global energy strategy
by Karen Smith Stegen - 209-223 International strategic management hybrids in China
by Hans Jansson & Sten Söderman - 224-242 Strategic transformation in the value-added wood products companies
by Minli Wan & Katja Lähtinen & Anne Toppinen - 243-271 Technology-sourcing investment abroad as an enhancer of Chinese MNEs’ innovative capabilities
by Philippe Gugler & Laura Vanoli - 272-292 Performance implications of internationalization strategies for Chinese MNCs
by Lin Yuan & Nitin Pangarkar
January 2015, Volume 10, Issue 1
- 2-15 The bottom of the pyramid: an integrative approach
by Samuel Rabino - 16-31 The link between export relationship quality, performance and expectation of continuing the relationship
by A.F.M. Jalal Ahamed & Kåre Skallerud - 32-51 Two paths to diversification
by Karthik Dhandapani & Rajesh S. Upadhyayula - 52-72 Inorganic growth of technology sector firms in emerging markets
by Arindam Das & Sheeba Kapil - 73-88 Consumer ethnocentrism and consumer animosity: antecedents and consequences
by Pilar Fernández-Ferrín & Belén Bande-Vilela & Jill Gabrielle Klein & M. Luisa del Río-Araújo - 89-101 Justification of generational cohort segmentation in South Africa
by Helen Duh & Miemie Struwig - 102-121 Thai consumers’ purchase decisions and private label brands
by Kandapa Thanasuta - 122-140 Does explicit comparative advertising affect Indian consumers’ attitudes towards low and high-involvement product?
by Varsha Jain & Rohit H Trivedi & Vikrant Joshi & Aarzoo Daswani - 141-155 Marketing issues for business-to-business firms entering emerging markets
by Fabio Cassia & Francesca Magno - 156-170 The rise of the BRICS and their challenge to the G7
by Golam Mostafa & Monowar Mahmood
September 2014, Volume 9, Issue 4
- 462-470 Predicting productivity gains from parking behavior
by Shaomin Li - 471-487 Bank competition and interest rate pass-through in the BRICS
by Gideon Fadiran - 488-504 Firm value and optimal cash level: evidence from Pakistan
by Qurat-ul-ann Azmat - 505-519 Long-range dependence in Indian stock market: a study of Indian sectoral indices
by Dilip Kumar - 520-534 Market efficiency in Indian soybean futures markets
by Thiagu Ranganathan & Usha Ananthakumar
July 2014, Volume 9, Issue 3
- 377-385 To understand EMNEs a dynamic IB contingency theory is called for
by Yair Aharoni - 386-399 Strategy development processes in Central and Eastern Europe: a cross-regional perspective
by Bernadett Koles & Balakrishnan Kondath - 400-423 Marketing to the “middle of the pyramid” in emerging markets using a social network perspective
by Tendai Chikweche & Richard Fletcher - 424-438 Africa as a source location: literature review and implications
by Oguji Nnamdi & Richard Owusu - 439-458 Institutional entrepreneurs on opportunity formation and exploitation in strategic new industry
by Xuanwei Cao & Yipeng Liu & Chunhui Cao
April 2014, Volume 9, Issue 2
- 162-180 A review of institutional influences on the rise of made-in-China multinationals
by Xiaohua Yang & Clyde D. Stoltenberg - 181-204 How do Chinese multinationals perceive factors affecting the integration-responsiveness framework?
by Di Fan & Cherrie Jiuhua Zhu - 205-215 Chinese multinationals and public policy
by Alan M. Rugman & Quyen T.K. Nguyen & Ziyi Wei - 216-235 Diplomacy and investment – the case of China
by Jianhong Zhang & Jiangang Jiang & Chaohong Zhou - 236-256 Reregulation of China's rare earth production and export
by Yujia He - 257-275 Does Chinese investment affect Sub-Saharan African growth?
by Jian Zhang & Ilan Alon & Yanan Chen - 276-293 China's rare earth sector – between domestic consolidation and global hegemony
by Reinhard Peter Biedermann - 294-315 China's government procurement negotiations in the electric energy sector with WTO members
by Stéphane Coudé - 316-332 On the convergence of corporate governance practices in emerging markets
by Christoph Lattemann - 333-370 The attractiveness of emerging market MNCs as employers of European and American talent workers
by Terry D. Alkire
January 2014, Volume 9, Issue 1
- 2-10 Innovation in emerging markets – the case of China
by George Yip & Bruce McKern - 11-32 Financial giants and moral pygmies?
by Shaomin Li & Ajai Gaur - 33-53 How much can we trust the financial report?
by Shaomin Li & Seung Ho Park & Rosey Shuji Bao - 54-78 Internationalisation of emerging market firms: an exploratory study of Chilean companies
by Constanza Bianchi - 79-97 Business decision making, production technology and process efficiency
by Rumki Majumdar - 98-119 How should firms deal with counterfeiting?
by Andreas Hoecht & Paul Trott - 120-146 Exploring the drivers and elements of subsidiary evolution in several new EU member states
by Sergey Filippov & Geert Duysters - 147-156 Governance and enterprise restructuring: the case of Macedonia
by Mico Apostolov
September 2013, Volume 8, Issue 4
- 304-328 “Punching above their weight”
by Farok J. Contractor - 329-353 Do emerging multinational enterprises possess South-South FDI advantages?
by Shawn Arita - 354-372 Antecedents of export performance: the case of an emerging market
by Nicholas Adu-Gyamfi & Tor Korneliussen - 373-391 An analysis of the antecedents of loyalty and the moderating role of customer demographics in an emerging mobile phone industry
by Abdul Qayyum & Do Ba Khang & Donyaprueth Krairit - 392-408 Determinants of international telecommunications alliance form in emerging markets
by Dungchun Tsai & WeiWei Chen - 409-427 Key determinant factors for retail bank switching in Ghana
by Bedman Narteh
June 2013, Volume 8, Issue 3
- 215-239 Methods to increase research output: some tips looking at the MENA region
by Melodena Stephens Balakrishnan - 240-257 The determinants of foreign direct investment in the Middle East North Africa region
by Tim Rogmans & Haico Ebbers - 258-281 Socio‐demographic factors and network configuration among MENA entrepreneurs
by Victor Zengyu Huang & Anup Nandialath & Abdulkareem Kassim Alsayaghi & Emine Esra Karadeniz - 282-299 Investigating ethical perceptions of short‐term earnings management practices
by Leonie Jooste
April 2013, Volume 8, Issue 2
- 108-128 Returns and volatility spillover between stock prices and exchange rates
by Manish Kumar - 129-143 Evidence on changes in time varying volatility around bonus and rights issue announcements
by Madhuri Malhotra & M. Thenmozhi & G. Arun Kumar - 144-169 A replacement method in evaluating the performance of international mutual funds
by Mohammad Reza Tavakoli Baghdadabad - 170-181 Foreign investor flows and “blue chip” stock returns
by Cahit Adaoglu & Salih Turan Katircioglu - 182-202 No longer sick: what does it convey? An empirical analysis of post‐bankruptcy performance
by Surenderrao Komera & P.J. Jijo Lukose
January 2013, Volume 8, Issue 1
- 7-23 Indian consumers: are they the same across regions?
by Byoungho Jin & Junghwa Son - 24-40 Understanding acculturation of consumer culture in an emerging market
by Nitin Gupta - 41-64 Customer interaction in service innovation: evidence from India
by Intekhab Alam - 65-81 Does successful recovery mitigate failure severity?
by M.S. Balaji & Aditi Sarkar - 82-96 An empirical analysis of resources in the Indian pharmaceutical industry
by Bikram Jit Singh Mann & Prabhjot Dutta
September 2012, Volume 7, Issue 4
- 364-382 Local sourcing of multinational enterprises in China
by Yingqi Wei & Xiaming Liu & Chengang Wang & Jue Wang - 383-396 Cross‐sectional analysis of emerging market volatility index (India VIX) with portfolio returns
by Debasis Bagchi - 397-410 Emerging economies and multinational corporations
by Deeksha Singh