International Journal of Emerging Markets

Papers
(The TQCC of International Journal of Emerging Markets is 8. 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 2022-06-01 to 2026-06-01.)
ArticleCitations
M&A performance in emerging markets: do they behave in unison or otherwise?96
Can exchange rate policies and trade partners' income enhance the trade balance in Algeria? Evidence from the nonlinear ARDL model91
Understanding dollar dynamics and SME performance in GCC economies79
Structure of banking industry and firms' risk-taking: firm-level evidence from China61
What if cryptocurrency (CC) holdings were taxed? An empirical analysis of CC investors’ propensity60
Supplier selection framework to evade pseudo-resilience and to achieve sustainability in supply chains59
Antecedents and consequences of organisational citizenship behaviour: a mediated-moderation examination in an emerging economy57
Does internal control affect corporate environmental responsibility? Evidence from China56
Economic growth through digitalization in Africa: does financial sector development play a mediating role?48
Technology investments from China into other emerging economies: a push and pull perspective on the Eurasia region46
Family embeddedness and next generation aspirations to take over the family business: insights from the MENA region40
Does CEO openness matter when explaining firm internationalization decisions: evidence from China40
Post COVID-19's opportunities for customer-centric green supply chain management and customers' resilience; the moderate effect of corporate social responsibility39
Risk aversion or risk amplification? How CEO career horizons shape firm-level stock market stability38
Parent company personnel embeddedness and stock price crash risk: evidence from Chinese enterprise groups38
Financial development and trade openness in Sub-Saharan Africa: linear and non-linear modelling approaches37
The determinants of IPO initial returns in emerging markets: a quantile regression33
Unleashing the power of online influencers’ negative reviews in luxury hotels in the emerging market33
Antecedents of freight transportation for sustainable supply chain in the post-COVID era: an emerging market study32
Political crises and stock market volatility in the WAEMU: evidence from an event study32
The impact of leadership behaviors on startup's entrepreneurship in Vietnamese Southern areas in the time of Covid-1932
Sustainable minds delivering profits: managers' characteristics and CSR driving SME performance through business model innovation30
Does positive investor sentiment induce firm greenwashing? Evidence from China30
Accounting information quality and cash holdings—Moderating effects based on state ownerships and local appointments29
The impact of Covid-19 pandemic on the value relevance of cash flows: evidence from banks29
Multiscale analysis of the complex interaction between uncertainty and the international commodity market29
Tracing exuberance: multi-model evidence of bubble episodes in the Bucharest stock market28
Do macroprudential regulations condition the role of financial inclusion for ensuring financial stability? Cross-country perspective28
Is there a liability of foreignness or foreign privilege in developing nation compliance monitoring?26
Flattering the government: negative reports by state-controlled media and CSR26
Symmetric and asymmetric frequency-domain causality between tourism demand and exchange rates in Türkiye: a regional comparison26
Does gratuitous behaviour promote workplace nonviolence? Exploring the mediating role of constructive deviance26
“Connected we stand, disconnected we fall”. Analyzing the importance of digital platforms in transnational supply chain management26
Investor attention, analysts coverage and idiosyncratic volatility puzzle: based on behavioral perspective25
Positive institutional distance and developing country firms in GVCs during the COVID-19 period25
The role of artificial intelligence in effective business operations during COVID-1925
ESG performance, corporate innovation and downside risk: empirical evidence from China24
Assessing the effect of domestic and foreign R&D on export: empirical evidence from China23
Adaptation strategy, international experience and export performance of Moroccan handicraft firms: the mediating role of partnerships23
Firm-level perception of uncertainty and overseas investment: evidence from China's listed firms23
Are you a trend setter or a straggler? Social drivers and customer shift toward co-creating value with self-service technologies23
What do border disputes cost? Evidence from an emerging market22
Top management team stability and maturity mismatch between investment and financing: the moderating effects of state ownership and institutional ownership22
Deconstructed entrepreneurial orientation and export performance: mediating role of differentiation and cost leadership strategy from the developing country context22
Analyzing the nexus of stock return dynamics, trading volume and volatility in the Indian Stock Exchange22
Towards the environment of legitimacy: Do the institutional quality and policy uncertainty matter for the performance of stock markets of South Asian countries?22
Detrimental impact of abusive leadership on knowledge workers’ productivity: evidence from higher education sector21
Does risk–return trade-off exist in the GCC stock markets?21
Bank opacity and stability in an emerging market21
Social franchise chains operating in African countries: are their social goals aligned with the 2030 United Nations sustainable development goals?21
FDI-related meritocratic elite and income inequality in post-communist EU countries21
Discard the false and retain the true: the effect of hypocrisy on the cognitive legitimacy of social enterprises21
The role of intellectual capital and service agility in banking service provision: the perspective of Brazilian export companies20
Consumer adoption behaviour in ride-sharing economy: an integrated TAM-ECM framework20
Interlocking director networks and corporate digital transformation: evidence from China20
The effect of import competition on firm innovation: evidence from China19
Digital transformation: how it impacts bank performance for emerging economies19
Shortening the distance between firms for M&A: the influence of small-world network structure on mergers and acquisitions19
Superposition effect of online news on fintech platforms19
The synergistic effects of digital finance and heterogeneous government subsidies on the green innovation of enterprises19
Foreign direct investment, technological transfer, employment generation and economic growth: new evidence from Ghana19
Mobilizing resources under constraint: the role of entrepreneurial leadership in emerging market firms18
AI capabilities and export performance: the moderating role of province market development and cultural distance18
The derivatives debate: do derivatives disclosures add value during difficult times?18
Fostering entrepreneurship and development in rural mountainous regions: the role of SEZs and local economic dynamics in Gilgit-Baltistan18
Internal embeddedness and innovation performance of Multilatinas: roles of reverse knowledge transfer and subsidiary autonomy delegation18
The role of women’s empowerment and participation in social networks in orienting small farms to the market: evidence from Central and Eastern European countries17
Outward foreign direct investment from post-socialist to advanced economies: motives and determinants of Slovene investment in Germany17
Windows of opportunity for unrelated diversification: a patent data analysis of the field of neurotechnology17
Capital mobility, financial development and sustainable trade development in sub-Saharan Africa: a GMM-PVAR based analysis17
Tax reform and investment efficiency: evidence from China's replacement of business tax with VAT17
Relative, absolute or combined strength momentum strategies: what works for India?17
Demystifying the carbonisation threat of unclean energy consumption: evidence from N-11 emerging economies16
Financial inclusion matter for poverty, income inequality and financial stability in developing countries: new evidence from public good theory16
Navigating economic crises in central and Eastern Europe: consumer coping strategies and resilience16
Do institutional determinants matter for FDI inflows location choice? Evidence from sub-national panel data in India16
Glasgow climate pact and the global clean energy index constituent stocks16
Financial crises in SAARC nations: applications of volatility and Markov switching models16
How is geopolitical risk associated with food prices?16
Publisher’s Note15
Explaining the performance of South African firms15
Key supply chain strategies for post-COVID-19 recovery: evidence from an Indian smart furniture industry15
Evaluating the efficiency of defined benefit pension plans in a developing market15
Designing energy policy in the presence of underground economy: the case of Pakistan14
Beating the Post-IPO innovation slump: managerial overseas experience in China14
Financial innovation, risk-taking and macroeconomic conditions: evidence from MENA banking systems14
How do multinational corporations in emerging economies patenting abroad? Empirical evidence from Chinese manufacturing enterprises14
Capital mobility in Latin American and Caribbean countries: alternative view on the “Feldstein-Horioka” coefficient14
Cooperation strategy of government-enterprise supply chain finance based on differential game14
Institutional distance and cross-border acquisitions into emerging markets: the moderating effect of context experience14
Corporate violations, reputation, trade credit financing and provision: evidence from an emerging market14
The incentive effect of government subsidies on the digital transformation of manufacturing enterprises13
Gimmick or revolution: can corporate digital transformation improve accounting information quality?13
Impact of imports from China on Indian manufacturing performance: an analysis of trade competitiveness13
Financial distress and earning manipulations in Vietnam: the moderating role of financial constraints13
Spatial relationship between financial development, energy consumption and economic growth in emerging markets13
Global impact of weaponizing trade: scenarios of USA first, protectionism policy and trade war13
Regional determinants of foreign direct investment within India: the role of specialization, diversification and competition externalities13
Do family companies invest more in internal audit function (IAF) than non-family companies?13
Heterogeneity of investor sentiment, geopolitical risk and economic policy uncertainty: do Islamic banks differ during COVID-19 pandemic?13
Geographic dispersion, tax administration and corporate tax burden: evidence from China13
Managerial religiosity, attitudes towards women as managers and supportive HR practices13
The effect of foreign direct investment on economic growth in Afghanistan: an empirical insight13
Empirical evidence of SMEs' ecopreneurship posture, green competitiveness and community-based performance: the neglected missing linkages of green practices13
Does firms and managerial experience matter for exporting? The case of selected EU member and non-member countries13
Digital technological innovation and the green development of manufacturing enterprises: empirical evidence from Chinese A-share listed companies12
External finance dependence, financial development and exports: a firm-level study from India12
Barriers to the adoption of digital servitization: a case of the Sri Lankan manufacturing sector12
From Wall Street to Dalal Street: tracing fear's path through quantile connectedness approach12
Dynamic connectedness among Pakistani stock markets and its major trading partners12
Parenting advantage and equity control-performance relationships: the asymmetric effect of institutional distance12
Transgenerational control intention and employment practices of family firms in China11
Are emerging economies’ credit cycles synchronized? Fresh evidence from time–frequency analysis11
Research on the impact of digital economy on rural economic resilience: empirical experience based on China11
Are political connections a curse for banks of the MENA region? The moderating effect of ownership structure11
Government support, employee motivation and job performance in the COVID-19 times: evidence from Turkish SMEs during the short work period11
The impact of the financial cycle on the economic cycle and the regulatory role of monetary policy: evidence from China11
Measuring and assessing international diversification strategies of Indian companies11
Investigating pension choice factors among the faculty of public sector universities in Pakistan11
Industrial policy and digital transformation of the Chinese wind power sector: the role of financial constraint and resource bricolage11
Audit quality and corporate trade credit: evidence from the Asian emerging markets11
From OLI to OLIN: understanding the internationalization process of elite business schools11
What affects organic farming adoption in emerging economies? A missing link in the Indian agriculture sector11
CEO political ranks and R&D investment: evidence from China11
The bubble contagion effect between crude oil and oil-exporting stock markets: the case of GCC countries10
Dynamic connectedness among the BRICS markets and the recent pandemic: an application of TVP-VAR approach10
Efficiency of the options market and arbitrage strategy: a meta-analysis10
The configuration of the largest Brazilian banks' board of directors: trajectories and capitals of Latin America's financial elite10
A six-factor asset pricing model of China's stock market from the perspective of institutional investors' dominance10
Health tourism and government supports10
Foreign direct investment by multinational corporations in emerging economies: a comprehensive bibliometric analysis10
Dynamic trade and technology linkages: a perspective from global value chain upgradation of Asian countries10
Network connectedness and portfolio hedging of green bonds, stock markets and commodities10
Imported inputs, firms' capabilities and productivity: evidence from emerging South Asian economies10
Quantile-based spillover connectedness among stochastic volatilities of ESG equities, Islamic and conventional stocks with implications for portfolio management10
Business environment and productivity in Africa: macro evidence10
Toward sustainable ERP systems and their impact on individual performance in manufacturing SMEs: evidence from a North African developing country10
A decade of biodiversity conservation: insights into corporate social responsibility in an emerging market context9
Country and corporate reputation from an internationalization perspective: a comparative study of industries from an emerging market9
Nonlinear effects of bank regulation stringency on bank lending in selected sub-Saharan African countries9
Exploring risk spillovers and their impact mechanisms in China’s ESG stock market: a hybrid framework approach9
Institutional distance and Chinese investment efficiency in Africa: a stochastic frontier analysis9
Supply chain analytics and post-pandemic performance: mediating role of triple-A supply chain strategies9
Joint foreign ownership and global value chains effects on productivity: a comparison of firms from Poland and Germany9
How consumers react differently toward humanoid vs. nonhumanoid robots after service failures: a moderated chain mediation model9
Authoritarian leadership and firm-level voluntary turnover among SMEs in Thailand: Does benevolent leadership matter?9
The choice of destination country of international franchise networks: the case of Mexican franchisors9
Cross-cultural business-to-business communication – the experiences of Polish companies with the Chinese and Americans9
Do strategic management, innovation and social capital matter for firm performance in developing countries? Evidence from Morocco, Tunisia and Egypt9
Exploring the impact of ambient air quality standards on firm innovation: evidence from listed industrial companies in China8
The impact of forced electricity rationing on shopping and media consumption8
Drivers of MSME loan defaults using survival analysis: implications for lenders and policy planners8
The relationship between auditing industry specialization and the relative derivatives use for earnings management: evidence from China8
Do commuters intend to avail electric street cars as public transport? Evidence from urban India8
Examining the relationship between fear of COVID-19 and digital financial service usage among Pakistani SMEs8
Institutional ownership and corporate environmental innovation: the moderating role of board gender diversity8
The effect of perceived financial risk on purchase intention in Pakistan8
Investor attention and the COVID-19 concept stocks in China's stock market8
Ownership structure and firm sustainable investments: evidence from emerging markets8
Impact of global events on UAE financial markets: an event study using STL decomposition8
Poverty eradication in sub-Saharan Africa: a government-led or private sector-driven approach?8
Social media and the bottom of the pyramid: a systematic literature review and future research agenda8
Investigating the dynamic nexus between fiscal deficit and inflation: empirical evidence from BRICS economies8
Can digital financial inclusion (DFI) effectively alleviate poverty? Evidence from Asian countries8
Work environment, HR practices and millennial employee retention in hospitality and tourism in Bangladesh8
Beyond compliance: standard-setting participation and radical innovation in China8
Dialect connectedness and tunneling: evidence from China8
Beyond the headlines: how analyst coverage mediates ESG controversies' impact in South Africa8
An insight of financial literacy and artificial intelligence to mitigate behavioral biases: a bibliometric and systematic review analysis using SPAR-4-SLR8
The relationship between institutional ownership and idiosyncratic volatility: evidence from the stock markets of China and the USA8
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