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Economics of Emerging Markets
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Editors: Lado Beridze
Book Description:
This new book presents recent significant research dealing the economics of emergin markets. The term emerging markets is commonly used to describe business and market activity in industrializing or emerging regions of the world. The term is sometimes loosely used as a replacement for emerging economies, but really signifies a business phenomenon that is not fully described by or constrained to geography or economic strength; such countries are considered to be in a transitional phase between developing and developed status. Examples of emerging markets include China, India, Mexico, Brazil, much of Southeast Asia, countries in Eastern Europe, parts of Africa and Latin America. An emerging market is sometimes defined as "a country where politics matters at least as much as economics to the markets." It appears that emerging markets lie at the intersection of non-traditional user behavior, the rise of new user groups and community adoption of products and services, and innovations in product technologies and platforms. The term "rapidly developing economies" is now being used to denote emerging markets such as The United Arab Emirates, Chile and Malaysia that are undergoing rapid growth.

Table of Contents:
Preface

Expert Commentary A

Monetary Policy and Diversification Benefits of Investing in Emerging Markets; pp. 1-4
(Partha Gangopadhyay, St. Cloud State Univ., Minnesota)

Expert Commentary B

Impact of Globalization on the Integration of Arab Stock Exchanges; pp. 5-7
(Shahira Abdel Shahid, Cairo & Alexandria Stock Exchanges (CASE), Cairo, Egypt)

Research and Review Studies

Chapter 1 - Measurement Problems in Global Financial Reporting: The Need for a Stable Composite Currency; pp. 9-24
(Nikolai V. Hovanov, James W. Kolari, Mikhail V. Sokolov, St. Petersburg State Univ., Texas A & M Univ.)

Chapter 2 - Equity Markets and Economic Development: What Do We Know?; pp. 25-66
(Thomas Lagoarde-Segot, Institute for International Integration Studies, School of Business, Trinity College, Univ. de la Mediterranee, Brian M. Lucey, School of Business Studies and Institute for International Integration Studies, Trinity College Dublin)

Chapter 3 - Dynamic Linkages between U.S. Portfolio Equity Flows and Equity Returns in China and India; pp. 67-97
(Joseph J. French, School of Finance and Quantitative Methods, Kenneth W. Monfort College of Business, Univ. of Northern Colorado, Greely, CO, Atsuyuki Naka, Dept. of Economics and Finance, College of Business Administration, Univ. of New Orleans, New Orleans, LA)

Chapter 4 - On the Linkages between Monetary Policy, Inflation, Output and Unemployment in the Euro Zone; pp. 99-113
(Priti Verma, College of Business, Texas A & M Univ., Kingsville, TX, Rahul Verma, College of Business, Univ. of Houston-Downtown, Houston, TX)

Chapter 5 - Expansion of Mean-Variance Analysis in Emerging Equity Markets; pp. 115-129
(Yasuaki Watanabe, Stanford Univ. Graduate School of Business, Japan Research Institute)

Chapter 6 - An Empirical Test of the Consumption-Based Asset Pricing Model (CCAPM) in Latin America; pp. 131-168
(Guilherme Kirch, FEEVALE Univ. College, Institute of Applied Social Sciences, Novo Hamburgo RS, Brazil, Paulo Renato Soares Terra, UFRGS Univ., Univ. Federal do Rio Grande do Sul, School of Management, Porto Alegre RS, Brazil, Tiago Wickstrom Alves, UNISINOS Univ., Univ. do Vale Do Rio dos Sinos, Sao Leopoldo RS, Brazil)

Chapter 7 - Rational Bubbles in Istanbul Stock Exchange: Linear and Nonlinear Unit Root Tests; pp. 169-202
(Erdinc Altay, Istanbul Univ., Dept. of Business Administration)

Chapter 8 - Analyst Origin and their Forecasting Quality on the Latin American Stock Markets; pp. 203-224
(Jean-Francois Bacmann, Huobstrasse, Pfaffikon SZ, Guido Bolliger, Rue Balzac, Paris)

Chapter 9 - Securities Markets in Emerging Economies: An Overview of the Main Issues; pp. 225-237
(Silvio John Camilleri, Banking and Finance Dept.-FEMA, Univ. of Malta)

Chapter 10 - Frequency-domain versus Time-Domain Estimates of Risk Aversion from the C-CAPM: The Case of Latin American Emerging Markets; pp. 239-253
(Ekaterini Panopoulou, Univ. of Piraeus, Greece & Trinity College, Dublin)

Chapter 11 - Momentum and Market States in Latin American Emerging Markets; pp. 255-276
(Luis Muga, Rafael Santamaria, Public Univ. of Navarre)

Chapter 12 - Emerging Bonds Markets Crises and Contagion: Extreme Dependence; pp. 277-316
(Diego Nicolas Lopez, Banco de Bogota)

Chapter 13 - Do Dividends Matter for Stock Returns? Evidence from the Brazilian Market; pp. 317-327
(Andre Carvalhal da Silva, Coppead Graduate School of Business, Federal Univ. of Rio de Janeiro, Rio de Janeiro, RJ, Brazil)

Chapter 14 - Corporate Financial Performance and Market Reaction to Employee Stock Ownership Plans in Taiwan; pp. 329-347
(Wei-Ning Chen, Dept. of International Business, Kainan Univ., Taiwan, Dar-Hsin Chen, Dept. of Business Adminstration, National Taipei Univ., Taiwan, Po-Wei Lu, Graduate Institute of Banking and Finance, Tamkang Univ., Taiwan)

Index

   Binding: Hardcover
   Pub. Date: 2008 1st quarter
   ISBN: 978-1-60021-850-7
   Status: AV
  
Status Code Description
AN Announcing
FM Formatting
PP Page Proofs
FP Final Production
EP Editorial Production
PR At Prepress
AP At Press
AV Available
  
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