Volatility transmission between US and Latin American stock markets: Testing the decoupling hypothesis

L Cardona, M Gutiérrez, DA Agudelo - Research in International Business …, 2017 - Elsevier
We test for volatility transmission between US and the six largest Latin American stock
markets (Argentina, Brazil, Chile, Colombia, Mexico and Peru) using MGARCH-BEKK …

[HTML][HTML] Emerging markets integration in Latin America (MILA) stock market indicators: Chile, Colombia, and Peru

ERL Bolaños, K Burneo, H Galindo… - Journal of Economics …, 2015 - Elsevier
This study aims to determine the impact of the Latin American Integrated Market (MILA) start-
up in the main indicators of the stock markets of the countries that conform it (Chile …

Impact of earnings management on agency costs: evidence from MILA markets

JA Muñoz Mendoza, CL Veloso Ramos… - Baltic Journal of …, 2021 - emerald.com
Purpose The purpose of this article is to analyze the effects of accruals-based earnings
management (AEM), International Financial Reporting Standard (IFRS) adoption and stock …

The rise of regional banking in Asia and the Pacific

EM Remolona, I Shim - BIS Quarterly Review September, 2015 - papers.ssrn.com
Cross-border banking activity within the Asia-Pacific region has intensified since the Great
Financial Crisis of 2007− 09. In the years leading up to the crisis, much of the cross-border …

The rise of international financial centers in mainland China

K Chen, G Chen - Cities, 2015 - Elsevier
This paper assesses the major cities in mainland China that are competing to become
international financial centers (IFC). Shanghai, Beijing, and Shenzhen are compared in …

Determinants of foreign capital flows: The experience of selected Sub-Saharan African countries

WG Brafu-Insaidoo, N Biekpe - Journal of Applied Economics, 2014 - Elsevier
This study investigates the major determinants of international capital flows in selected
countries in Sub-Saharan Africa. Both theory and the empirical literature suggest that …

Globalization or regionalization of stock markets? The Case of central and eastern European countries

K Beck, P Stanek - Eastern European Economics, 2019 - Taylor & Francis
This article investigates the degree of financial integration of the Eastern European countries
with global and regional financial markets and compares it with the core of the euro area. A …

Determinants of stock exchange integration: evidence in worldwide perspective

E Dorodnykh - Journal of Economic Studies, 2014 - emerald.com
Purpose–This paper contains an empirical analysis of determinants of international
integration projects over the time period 1995-2010. After a broad discussion of the existent …

Exploring international economic integration through sukuk market connectivity: A network perspective

M Asutay, A Hakim - Research in International Business and Finance, 2018 - Elsevier
This paper aims to measure the degree of international financial and economic integration
through sukuk markets among the eight sukuk issuing countries for the period of 2004 …

Bank-insurance integration level in Ukraine: science-methodological approach

H Obeid - Journal of Applied Business Research, 2015 - search.proquest.com
The methodological approach to the assessment of bank-insurance integration (BII) level in
Ukraine based on the calculation of integration index using of binary characteristics and …