Update search
Filter
- All
- Title
- Author
- Author Affiliations
- Full Text
- Abstract
- Keyword
- DOI
- ISBN
- EISBN
- ISSN
- EISSN
- Issue
- Volume
- References
Filter
- All
- Title
- Author
- Author Affiliations
- Full Text
- Abstract
- Keyword
- DOI
- ISBN
- EISBN
- ISSN
- EISSN
- Issue
- Volume
- References
Filter
- All
- Title
- Author
- Author Affiliations
- Full Text
- Abstract
- Keyword
- DOI
- ISBN
- EISBN
- ISSN
- EISSN
- Issue
- Volume
- References
Filter
- All
- Title
- Author
- Author Affiliations
- Full Text
- Abstract
- Keyword
- DOI
- ISBN
- EISBN
- ISSN
- EISSN
- Issue
- Volume
- References
Filter
- All
- Title
- Author
- Author Affiliations
- Full Text
- Abstract
- Keyword
- DOI
- ISBN
- EISBN
- ISSN
- EISSN
- Issue
- Volume
- References
Filter
- All
- Title
- Author
- Author Affiliations
- Full Text
- Abstract
- Keyword
- DOI
- ISBN
- EISBN
- ISSN
- EISSN
- Issue
- Volume
- References
NARROW
Format
Journal
Type
Date
Availability
1-20 of 42
Keywords: Emerging markets
Close
Follow your search
Access your saved searches in your account
Would you like to receive an alert when new items match your search?
1
Sort by
Journal Articles
Corporate governance, ownership and firm risk: disentangling effects in an emerging economy
Available to Purchase
Journal:
Managerial Finance
Managerial Finance 1–18.
Published: 09 January 2026
... by offering novel insights into how heterogeneous ownership types influence governance effectiveness in emerging markets. The study highlights the need for differentiated governance strategies that consider ownership profiles. Regulators should encourage transparency in institutional stewardship and promote...
Journal Articles
Determinants of bank credit ratings: evidence from Africa, the EU13, and Latin America/Caribbean
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2026) 52 (5): 773–794.
Published: 15 September 2025
... Banks Emerging markets Logistic regression This study aims to address these gaps by examining how corporate governance, risk-taking behaviors, and institutional quality impact bank credit ratings across three distinct regions: Africa, the EU13, and Latin America/Caribbean. The objectives...
Journal Articles
Impact of fintech on liquidity creation-evidence from Indian banks
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2026) 52 (3): 540–555.
Published: 05 September 2025
... rights only India Banking Emerging markets Fintech Liquidity creation Banks play a pivotal part in the economy by facilitating financial transactions, creating liquidity through deposits, and issuing loans (Berger and Bouwman, 2009). Banks also contribute to liquidity creation (LC...
Journal Articles
Volatility spillover between Indian and developed markets: a BEKK-GARCH analysis
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2026) 52 (2): 286–297.
Published: 13 May 2025
.... A different strand of studies focuses on the spillover effect between developed and emerging markets. For instance, Dutta (2018) used the volatility index of the US, China, and Brazil to analyze the interlinkage between the US and emerging markets. The findings of the ARDL bound test show that there exists...
Journal Articles
Is Bowman’s paradox an empirical artifact? Evidence from Asian emerging countries
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2024) 50 (12): 2071–2090.
Published: 18 October 2024
... criticisms. Risk-return tradeoff Firm risk Firm return Emerging markets Bowman’s paradox Econometric modeling For decades, the proponents of financial theory have maintained that accepting high risk is necessary to enhance returns, particularly in capital markets. However...
Journal Articles
Value relevance of accounting information in Morocco: impact of profitability and earnings management strategies
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2025) 51 (2): 280–298.
Published: 15 October 2024
... Emerald Publishing Limited 2024 Emerald Publishing Limited Licensed re-use rights only Value relevance Accounting information Profitability Earnings management Emerging markets The primary objective of financial statements is to communicate information about the financial health...
Journal Articles
Board diversity and systematic risk: evidence from emerging markets
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2023) 49 (11): 1783–1805.
Published: 01 June 2023
.../approach Using a panel data set of 788 firms listed in the Morgan Stanley Capital International (MSCI) Emerging Markets index from 2015 to 2020, the authors apply Panel-Corrected Standard Error estimation method to test the three proposed hypotheses and the two-stage least squares method is adopted...
Journal Articles
Apples plus oranges: the role of business profile similarity in shaping M&A outcomes: textual analysis of transaction data from China
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2022) 48 (12): 1726–1753.
Published: 13 July 2022
.... The study investigates the intermediating role of intraindustry competition in fostering firms' acquisitiveness. Mergers and acquisitions Emerging markets Business synergy G30 G34 We tackle and contrast the two opposing viewpoints on the relationship between acquirer–target similarity...
Journal Articles
Do ETFs affect the return co-movement of their underlying assets? Evidence from an emerging market
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2022) 48 (11): 1661–1686.
Published: 27 April 2022
... of the authors’ knowledge, this study is the first one to empirically examine the impact of ETFs on the return co-movement of an emerging market. Furthermore, the study is unique as the authors investigate how the effects of ETFs vary in turbulent and tranquil markets. Aakanksha Sethi can be contacted...
Journal Articles
First results on financial literacy in Oman
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2022) 48 (9-10): 1413–1429.
Published: 28 March 2022
... in this study is unique because it provides the first systematic research on financial literacy in Oman. This paper contributes to the study of financial literacy from the perspective of emerging markets. RQ1. Is the financial literacy level of the Omani adults fairly good? RQ2...
Journal Articles
What’s hidden behind bulk deals? A study on Indian stock market
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2022) 48 (4): 557–576.
Published: 25 January 2022
...Vivek Rajvanshi; Samit Paul Purpose Emerging market, like India, is characterised by poor institutional structure, weaker regulations and higher information asymmetry which may lead to stock price manipulation. This study shed some light on such manipulation by investigating front-running...
Journal Articles
Low-risk investment strategy: sector bets or stock bets?
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2022) 48 (3): 521–539.
Published: 17 January 2022
... and can be contacted at: shilpa.peswani@gmail.com 08 09 2021 17 12 2021 29 12 2021 Volatility effect Betting against beta Capital asset pricing model India Emerging markets Beta anomaly Micro- and macro-inefficiencies Portfolio management Smart beta Betting against beta...
Journal Articles
Choice between rights issue and private placements of equity and the role of information asymmetry
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2022) 48 (3): 409–428.
Published: 16 December 2021
...Bipin Sony; Saumitra Bhaduri Purpose The objective of this paper is to investigate the role of information asymmetry in the equity selling mechanisms chosen by the firms from an important emerging market, India. Specifically, the authors look into the choice between the two most popular mechanisms...
Journal Articles
Characteristics analysis of behavioural portfolio theory in the Markowitz portfolio theory framework
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2022) 48 (2): 277–288.
Published: 03 November 2021
... the first entry constraint of the BPT model. BPT optimal portfolio exhibits high risk and higher returns as compared to typical Markowitz optimal portfolio. Originality/value The BRICS countries' data were used because the dynamics of the emerging markets are significantly different from the developed...
Journal Articles
The relationship between home bias and globalization – an international comparison
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2021) 47 (2): 167–188.
Published: 15 October 2020
... 4 describes the variables, measurements, data and methodology. Section 5 reports the findings. Finally, Section 6 presents a summary and the implications. Emerging markets also play a role in foreign investment diversification. On the one hand, home bias is more severe in emerging...
Journal Articles
Agency problems and the value of advertising expenditures in an emerging market: role of product market competition
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2020) 46 (9): 1123–1143.
Published: 05 May 2020
... of the study highlight the importance of product market competition on the value of advertising expenditure in the emerging market setting, where agency problems are supposed to be high. Omar Farooq can be contacted at: omar.farooq.awan@gmail.com 04 08 2019 26 11 2019 14 02 2020 09...
Journal Articles
Ownership dilution and earnings management: evidence from Indian IPOs
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2020) 46 (3): 344–359.
Published: 18 December 2019
.... The purpose of this paper is to examine the impact of ownership dilution on earnings management among IPO firms. The authors chose the setting of security offerings in an emerging market, which is characterised by unique ownership structure, to examine the possible incentive of owners or pre-IPO shareholders...
Journal Articles
Multiple banking relationships, agency costs and firm value: evidence from India
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2020) 46 (1): 1–18.
Published: 15 October 2019
... whether this free rider problem exists in an emerging market context, and whether the relationship between multiple banking relationships and firm value is conditioned on bankers’ incentives to monitor. Design/methodology/approach The authors use multivariate panel regression to examine the hypotheses...
Journal Articles
Stock market reaction to cash dividends: evidence from the Nigerian stock market
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2019) 45 (3): 366–380.
Published: 15 March 2019
... of stock market reaction to dividend announcements have also been extended to emerging markets, albeit relatively few. Bandara (2001) examined the information content of dividend announcements employing data from the Colombo Stock Exchange of Sri Lanka. The results indicate that stock prices react...
Journal Articles
How to explain the liquidity risk by the dynamics of discretionary loan loss provisions and non-performing loans? The impact of the global crisis
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2019) 45 (2): 244–262.
Published: 25 January 2019
... be contacted at: youssef.riahi@isg.rnu.tn 20 12 2017 10 05 2018 14 05 2018 © Emerald Publishing Limited 2019 Emerald Publishing Limited Licensed re-use rights only Financial risk Emerging markets Banks C23 G01 G23 A strong banking system is essential...
1
