Description

Book Synopsis
The broad theme of Volume 32 of Research in Finance is “The Spread of Financial Sophistication Through Emerging Markets Worldwide.” Contributions assess the spread of Initial Public Offerings, the use of derivatives to provide stability, corporate governance in emerging markets, and the privatization of the Russian economy. We also gain new insights into applying financial modeling in emerging markets.

Table of Contents
Total Factor Productivity, Growth, and Entrepreneurship in Emerging Economies - Rita Biswas Estimating Time-Varying Beta Coefficients: An Empirical Study of US and ASEAN Portfolios - Jordan French Comparative Analysis of Asset Pricing Models Based on Log-Normal Distribution and TSALLIS Distribution Using Recurrence Plot in an Emerging Market - Kousik Guhathakurta, Basabi Bhattacharya and A. Roy Chowdhury Does Liquidity Risk Premium Affect Optimal Portfolio Holdings of US Treasury Securities? - Karoll Gomez Portilla Size, Value, and Momentum Risk in the Cross-Section of Average Returns and Volatility - Knut F. Lindaas and Prodosh Simlai IPO Advertising: A Possible Cause of Short-Term Overvaluation - Konpanas Dumrongwong A Comparative Study of the Influence of Derivatives on Bank Stability in Emerging and Recently Developed Countries: Evidence from the Last Financial Crisis - Mohamed Rochdi Keffala Is There a Relationship Between the Liquidity of Closed-End Funds’ Portfolios, Fund Ownership by Smaller Investors, and the Liquidity of the Funds’ Shares? - Charles P. Cullinan, Xiaochuan Zheng and Elena Precourt Does Demographic Change Impact Hong Kong Economic Growth? - Ping-Fu (Brian) Lai and Wai Lun (Patrick) Cheung Does Optimizing the Cash Conversion Cycle Ameliorate Firm’s Performance? Unraveling the Relationship in the Indian Corporate Landscape - Nityanand Tripathi and Naseem Ahamed Budget Investments in Russia: Not Investment But Transformation of Public Property - Dmitry L. Komyagin Speculative Bubble on the Moroccan Real Estate Market: Identification and Cycles - Firano Zakaria Corporate Governance Index in Emerging Markets: Peruvian Listed Companies - Edmundo R. Lizarzaburu, Luis Berggrun and Kurt Burneo Optimal Arbitrage Path in the Foreign Exchange Market - Reza Habibi The Misalignment Phenomena in the Foreign Exchange Market: Evidence for the Tunisian Dinar - Salima Ben Ezzeddine and Kamel Naoui

The Spread of Financial Sophistication Through

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    A Hardback by John W. Kensinger

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      Publisher: Emerald Publishing Limited
      Publication Date: Publication Date: 26/07/2016
      ISBN13: 9781786351562, 978-1786351562
      ISBN10: 1786351560

      Description

      Book Synopsis
      The broad theme of Volume 32 of Research in Finance is “The Spread of Financial Sophistication Through Emerging Markets Worldwide.” Contributions assess the spread of Initial Public Offerings, the use of derivatives to provide stability, corporate governance in emerging markets, and the privatization of the Russian economy. We also gain new insights into applying financial modeling in emerging markets.

      Table of Contents
      Total Factor Productivity, Growth, and Entrepreneurship in Emerging Economies - Rita Biswas Estimating Time-Varying Beta Coefficients: An Empirical Study of US and ASEAN Portfolios - Jordan French Comparative Analysis of Asset Pricing Models Based on Log-Normal Distribution and TSALLIS Distribution Using Recurrence Plot in an Emerging Market - Kousik Guhathakurta, Basabi Bhattacharya and A. Roy Chowdhury Does Liquidity Risk Premium Affect Optimal Portfolio Holdings of US Treasury Securities? - Karoll Gomez Portilla Size, Value, and Momentum Risk in the Cross-Section of Average Returns and Volatility - Knut F. Lindaas and Prodosh Simlai IPO Advertising: A Possible Cause of Short-Term Overvaluation - Konpanas Dumrongwong A Comparative Study of the Influence of Derivatives on Bank Stability in Emerging and Recently Developed Countries: Evidence from the Last Financial Crisis - Mohamed Rochdi Keffala Is There a Relationship Between the Liquidity of Closed-End Funds’ Portfolios, Fund Ownership by Smaller Investors, and the Liquidity of the Funds’ Shares? - Charles P. Cullinan, Xiaochuan Zheng and Elena Precourt Does Demographic Change Impact Hong Kong Economic Growth? - Ping-Fu (Brian) Lai and Wai Lun (Patrick) Cheung Does Optimizing the Cash Conversion Cycle Ameliorate Firm’s Performance? Unraveling the Relationship in the Indian Corporate Landscape - Nityanand Tripathi and Naseem Ahamed Budget Investments in Russia: Not Investment But Transformation of Public Property - Dmitry L. Komyagin Speculative Bubble on the Moroccan Real Estate Market: Identification and Cycles - Firano Zakaria Corporate Governance Index in Emerging Markets: Peruvian Listed Companies - Edmundo R. Lizarzaburu, Luis Berggrun and Kurt Burneo Optimal Arbitrage Path in the Foreign Exchange Market - Reza Habibi The Misalignment Phenomena in the Foreign Exchange Market: Evidence for the Tunisian Dinar - Salima Ben Ezzeddine and Kamel Naoui

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