Emerging Markets Review

Papers
(The H4-Index of Emerging Markets Review is 30. The table below lists those papers that are above that threshold based on CrossRef citation counts [max. 250 papers]. The publications cover those that have been published in the past four years, i.e., from 2022-05-01 to 2026-05-01.)
ArticleCitations
Tax authority independence and earnings management240
Corrigendum to “Endogenous market development for government securities in lower-income economies” [Emerging Markets Review 50 (2022) 100844]95
Fintech innovation: Is it beneficial or detrimental to financial inclusion and financial stability? A systematic literature review and research directions85
Financial statement fraud, recidivism and punishment78
What drives the growth of shadow banks? Evidence from emerging markets78
Does time-varying risk aversion sentiment matter in the connectedness among Sub-Saharan African bond markets?69
Borrowing constraints, financial development and the aggregate savings: Theory and evidence66
Bank board network and financial stability in emerging markets61
Fiscal rules and sovereign default47
Impact of energy restructuring on green technology innovation in the context of climate policy uncertainty46
Local credit in Brazil: The role of digital connectivity and education46
The impact of common ownership between banks and firms on corporate ESG performance: Evidence from China44
Making differences work: Financial fraud detection based on multi-subject perceptions44
The imprint effect of initial institutional environments and bank financing in family businesses44
Media coverage of startups and venture capital investments43
Inflation and west African sectoral stock price indices: An asymmetric kernel method analysis42
Anti-corruption campaign and corporate cash holdings: Evidence from China39
Bank risk-taking and competition in developing banking markets: Does efficiency level matter? Evidence from Africa39
Does managerial networking impinge our morality in Guanxi context? The moderating effect of corruption perception39
Impacts of COVID-19 pandemic on corporate cash holdings: Evidence from Korea38
Residual state ownership, foreign ownership and firms' financing patterns36
Global monetary policy surprises and their transmission to emerging market economies: An external VAR analysis34
Financial fraud detection for Chinese listed firms: Does managers' abnormal tone matter?33
Unintended consequences: Examining the effects of government digital regulation on corporate fintech innovation in China33
The dark side of Bitcoin: Do Emerging Asian Islamic markets help subdue the ethical risk?33
Share pledging and stock price synchronicity: Evidence from China32
Spillovers and connectedness among BRICS stock markets, cryptocurrencies, and uncertainty: Evidence from the quantile vector autoregression network32
Board generational diversity in emerging markets31
Are Latin American stock markets connected? Exploring spillovers and the impact of risk factors31
Editorial Board30
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