Ali M. Kutan
págs. 4-5
págs. 5-21
Oil price and stock market synchronization in gulf cooperation council countries
Rosmy Jean Louis, Faruk Balli
págs. 22-51
Macroeconomic impact of bank regulation and supervision: : a cross-country investigation
Bilin Neyapti, N. Nergiz Dincer
págs. 52-72
Stock Returns Under High Inflation and Interest Rates: : Evidence from the Brazilian Market
Rene Coppe Pimentel, Taufiq Choudhry
págs. 72-92
págs. 93-117
Economic and Financial Challenges and Issues in the Asia-Pacific Countries: : Guest Editors' Introduction
Li Gan, Dayong Zhang
págs. 118-119
SME Financing in Emerging Markets: : Firm Characteristics, Banking Structure and Institutions
Yan Dong, Chao Men
págs. 120-149
págs. 150-163
págs. 164-182
Adjustment of the stamp duty on stock transactions and its effect on the Chinese stock market
Zhe Peng, Qiming Tang, Kent Wang
págs. 183-196
Rumor clarification and stock returns: : do bull markets behave differently from bear markets?
Xiaolan Yang, Yongli Luo
págs. 197-209
Economic globalization and financial development in East Asia: : a panel cointegration and causality analysis
Siong Hook Law, W. N. W. Azman-Saini, Hui Boon Tan
págs. 202-225
Comparison of mean-risk efficient portfolios in Asia-Pacific capital markets
Milo� Kopa, Tomáš Tichý
págs. 226-240