Institutional quality, trade openness, and financial sector development in asia: : An empirical investigation
Thai-Ha Le, Jungsuk Kim, Minsoo Lee
págs. 1047-1059
Taper tantrum and emerging equity market slumps
Gemma B. Estrada, Donghyun Park, Arief Ramayandi
págs. 1060-1071
Shaoyu Li, Lijia Wei, Zehua Huang
págs. 1072-1091
The three-factor model and size and value premiums in China’s stock market
Shiqing Xie, Qiuying Qu
págs. 1092-1105
págs. 1106-1120
Effect of the sovereign credit ratings in East Asia countries: : Evidence from panel vector autoregression
Sammo Kang, Sejin Min
págs. 1121-1144
Jorge Guillén
págs. 1145-1155
págs. 1156-1166
Local currency bond market development in Sub-Saharan Africa: : A stock-taking exercise and analysis of key drivers
Dennis Essers, Hans J. Blommestein, Danny Cassimon, Perla Ibarlucea Flores
págs. 1167-1194
Sources of fluctuations in Islamic, U.S., EU, and Asia equity markets: the roles of economic uncertainty, interest rates, and stock indexes
Shawkat Hammoudeh, Won-Joong Kim, Soodabeh Sarafrazi
págs. 1195-1209
What influences stock market behavior in Russia and other emerging countries?
Iikka Korhonen, Anatoly Peresetsky
págs. 1210-1225
Monetary policy stress in EMU: : What role for fundamentals and missed forecasts?
Paweł Gajewski
págs. 1226-1240
On international consumption risk sharing, financial integration and financial development
Yasin Mimir
págs. 1241-1258
págs. 1259-1278