Taylor & Francis Journals: Welcome 
Contact Us Careers Members of the Group
Taylor & Francis Journals: Welcome 
Search for Books Journals and eBooks
Journal Listings
Alphabetical Listing
Journals by Subject
New Journals
Author Resources
Author Services
Authors' Newsletter
Copyright & Author Rights
Instructions for Authors
Journals Resources
Advertising
Catalogues
Customer Services
Developing World Initiatives
Email Contents Alerting
eUpdates
Online Information
Online Sample Copies
Permissions
Press Releases
Price List
Publish with Us
Reprints
Special Issues
Special Offers
Subscription Information
Related Websites
Arenas
LibSite
Society Publishing
Routledge Books
Taylor & Francis Books
eBooks

Journal Details

Printer Friendly Page
Macroeconomics and Finance in Emerging Market Economies

Macroeconomics and Finance in Emerging Market Economies


Published By: Routledge
Volume Number: 3
Frequency: 2
Print ISSN: 1752-0843
Online ISSN: 1752-0851
 

Forthcoming Articles

Who Benefits from Financial Liberalization? Evidence for Advanced and Emerging Market Economies
Saoussen Ben Gamra and Dominique Plihon

Market Liquidity and Stock Size Premia in Emerging Financial Markets
Bruce Hearn, Jenifer Piesse and Roger Strange

Ex Post and Ex Ante Returns and Risks under Different Maturities for Treasury Bonds
Medhat Hassanein and Islam Azzam

Open Economy Phillips Curve in Developed and Developing Asian Countries
Pami Dua and Upasna Gaur

Day-of-the-Week effect on trading costs and efficiency in a Limit Order Market: Evidence from the National Stock Exchange of India
Manoj Dalvi, James F. Refalo, and Golaka C. Nath
 
Central Bank Communication and Exchange Rate Volatility: A GARCH Analysis
Radovan Fišer and  Roman Horváth
 
Optimal Monetary and Fiscal Policy in a Currency Union with Nontradables
Eiji Okano
 
Macroeconomic Factors and Yield Curve for Emerging Indian Economy
Kakali Kanjilal

Coming of Age - A Comparative Study of Emerging FX Markets
Jamal Mecklai and Anis Shaikh
 
Assessment of Inflationary Expectations in India: A Markov Chain Monte-Carlo  Based Gibbs Sampling Approach
Himanshu  Joshi

Global Financial Crisis and Emerging Issues for Public Policy
Y Venugopal Reddy
 
Credit derivatives: International developments and lessons for India
Anuradha Guru
top top
Copyright © 2009 Taylor & Francis Group, an informa business   Privacy Policy   Terms and Conditions