Emerging Markets Finance and Trade

Papers
(The H4-Index of Emerging Markets Finance and Trade is 27. 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 2021-12-01 to 2025-12-01.)
ArticleCitations
Study on OFDI and Enterprises Transformation and Upgrading Under the “Belt and Road” Initiative243
Executive Monetary Compensation Incentives, Equity Incentives, and Corporate Default Risk: Empirical Evidence from China198
Breaking the Model: Does Technical Efficiency Propel or Hinder Bank Risk? Evidence from the Chinese Banking Industry94
Services Liberalization and Manufacturing Employment Polarization: Evidence from Chinese Listed Manufacturing Firms86
Research on the Impact and Mechanism of Climate Risk on Substantive and Strategic Green Technology Innovation of Enterprises82
Can Artificial Intelligence Pave a Greener Path for China? Exploring the Synergistic Effects of Intelligentization and Industrialization on Carbon Emission Efficiency80
The Path and Mechanism of Business Strategy Influencing the Strategic ESG Behavior: Evidence from Chinese Enterprises70
Intraday Return Forecasts and High-Frequency Trading of Stock Index Futures: A Hybrid Wavelet-Deep Learning Approach54
Digital Economy and Corporate Innovation: Evidence from China48
Does Fintech Development Matter for Export Technological Sophistication? Evidence from Chinese Enterprises47
How Does Intelligent Manufacturing Affect Corporate ESG Performance? Evidence from Intelligent Manufacturing in China46
The Effect of Digital Transformation on Export Upgrading: Firm-Level Evidence from China45
Good (Bad) News and the Probability of Informed Trading: Evidence from Illegal Insider Trading43
Are Academic Leaders Less Aggressive? Evidence from Corporate Expansion43
The Impact of Government Assessment Transformation on Green Entrepreneurship: Evidence from China38
Decision-Making of Discretionary Goodwill Impairments—Evidence from Publicly Listed Firms in China38
The Impact of Debt Relief to Africa on Creditor Countries’ Product Exports: Evidence from China37
In Search of Risk Havens in the Global South—Interconnectedness Between Mining Stocks and Energy Commodity Future36
How to Comprehensively Evaluate Firm Performance from Operational, Financial, and Sustainability Perspectives? A Two-Stage Data Envelopment Analysis Approach33
Shadow Banking, Stock Market Volatility, and Stock-Money Market Correlation: Evidence from China33
Production Suspension, Corporate Governance, and Firm Value32
Can Short Selling Improve the Quality of Information Disclosure in Clarification Announcements by Firms Faced with Market Rumors?32
Unintended Consequences of Social Insurance Law on Stock Price Crash Risk: Quasi-Natural Experimental Evidence from China31
Impact of Local Government Competition and Land Finance on Haze Pollution: Empirical Evidence from China30
Regional Integrity and Corporate Green-Technology Innovation: Evidence from Deadbeat Borrowers in China29
Guaranteed Rate-setting Behavior, Life Insurance Premium, and Policyholder Protection29
Oceans Apart? China and Other Systemically Important Economies28
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