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- 868 pages
- English
- PDF
- Available on iOS & Android
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About This Book
Although emerging market economies consist of 50% of the global population, they are relatively unknown. Filling this knowledge gap, Emerging Markets: Performance, Analysis and Innovation compiles the latest research by noteworthy academics and money managers from around the world. With a focus on both traditional emerging markets and new areas, su
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Table of contents
- Front cover
- Contents
- Preface
- Acknowledgments
- Editor
- Contributor Bios
- Contributors
- Chapter 1. Growth Prospects of New and Old Emerging Markets
- Chapter 2. Are Emerging Stock Markets Less Efficient? A Survey of Empirical Literature
- Chapter 3. How "Normal" Are Emerging Market Returns?
- Chapter 4. Emerging Markets Exposure: Equities or Hedge Funds?
- Chapter 5. Equity Returns in Emerging Markets: Prospects for the BRICs
- Chapter 6. Indices and Price Book, Price Earnings, and Dividend Yield Ratios in Emerging Financial Markets
- Chapter 7. World Price of Covariance Risk with Respect to Emerging Markets
- Chapter 8. Do Jumps Matter in Emerging Market Portfolio Strategies?
- Chapter 9. Overraction Hypothesis in Emerging Balkan Stock Markets
- Chapter 10. Does Currency Risk Depress the Flow of Trade? Evidence from the European Union and Transition Countries
- Chapter 11. Stock Market Volatility of European Emerging Markets as Signals to Macroeconomics Activities
- Chapter 12. Profitability of the Contrarian Strategy and the Overraction Effect on the Istanbul Stock Exchange
- Chapter 13. What Determines Going Public in Latin America?
- Chapter 14. Preholiday Effect and Stock Returns in Mexican Financial Markets
- Chapter 15. Business-Cycle and Exchange-Rate Fluctuations in Emerging Market Economies in Asia, Latin America, and Central and Eastern Europe
- Chapter 16. Institutional Factors behind Capital Structure: Evidene from Chilean Firms
- Chapter 17. Private Equity in the MENA Region: An Exploratory Analysis
- Chapter 18. Examining the Implications of Linear and Nonlinear Dependencies on Efficiency and Conditional Volatility of MENA Markets: The Case of Egypt and Tunisia
- Chapter 19. Study of Market Integration, Share Price Responses, and Global Portfolio Investments in the MENA Region
- Chapter 20. Empirical Analysis of Herding Behavior in Asian Stock Markets
- Chapter 21. Institutions and Investment Activities in the Venture Capital Industry: Evidence from China, Hong Kong, and India
- Chapter 22. Rating Skewness Spillovers in Equity and Currency Markets: Evidence from the Pacific Rim
- Chapter 23. Dealing with East Asian Equity Market Contagion: Some Policy Implications
- Chapter 24. Response of Indian Equities to U.S. Stock Market Movements of the Prior Trading Day
- Chapter 25. Asset Pricing with Higher-Order Co-Moments and Alternative Factor Models: The Case of an Emerging Market
- Chapter 26. Market Risk Management for Emerging Markets: Evidence from the Russian Stock Market
- Chapter 27. Microstructure of the Bid-Ask Spreads of Russian Soverign Bonds (1996-2000): Spreads as Indicators of Liquidity
- Chapter 28. Reaction of Fixed Income Security Investors to Extreme Events: Evidence from Emerging Markets
- Chapter 29. Market Liquidity and Investor Sentiment Evidence from International Closed-End Funds
- Chapter 30. Closed-End Funds in Emerging Markets
- Chapter 31. Financial Distress and Emerging Markets
- Chapter 32. State of Corporate Governance in Ukraine
- Chapter 33. Accounting and Auditing Aspects of Corporate Governance in Emerging Economies
- Chapter 34. Emerging Market Firms and Bonding Benefits
- Chapter 35. Corruption and Public Governance: Evidence from Vietnam
- Chapter 36. Empirical Test of New Theory of Economic Reform Using Indonesia as a Case Study (1988-2003)
- Chapter 37. Ownership Structure and Firm Value: Evidence from the Turkish Financial Crisis
- Chapter 38. Nonlinear Synthesis Approach Establishing a Banking or Financial Distress Early Warning System against Corruption
- Chapter 39. Corporate Governance in Emerging Markets: An Overview
- Chapter 40. Government Corruption and Transactional Impediments in Emerging Markets
- Index
- Back cover