Emerging Markets Finance and Trade

Papers
(The H4-Index of Emerging Markets Finance and Trade is 28. 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 2021-04-01 to 2025-04-01.)
ArticleCitations
On the Monotonically Increasing Effect of Trust on Chinese Household Wealth172
Special Issue on the Pandemic Research162
What Factors Have Influenced Fiji’s Productivity?159
The Effects of Data Restriction Policies and Institutions on Digital Financial Service and Trade87
A Note on How Asia-Pacific Giants Australia, China and Japan Manage The Geopolitical Risk for Prices81
Can High-Quality Interactions Reduce the Regulatory Inquiries Received by Firms? Evidence from Interactive Investor Platforms in China73
Psychic Distance’s Impact on China’s Reverse M&A Innovation68
Could Digital Trade Promote Global Value Chain Participation? Evidence from Multinational Data68
Global Integration, Culture and Cross-Market Factor Momentum58
How Does Stock Market Volatility Affect Wealth Inequality? — Evidence from the Perspective of Portfolio Heterogeneity52
The Effect of Drinking Culture on Corporate Cash Holdings50
The Effect of Digital Transformation on Export Upgrading: Firm-Level Evidence from China48
Forecasting Volatilities of Asian Markets Using U.S. Macroeconomic Variables44
Narcissism and Cost of Debt: Evidence from Signature Size Data in China44
The Herd Effect and Cross-Border Mergers and Acquisitions by Chinese Firms42
The Impact of Deep Preferential Trade Agreements on (Global Value Chain) Trade: Who Signs Them Matters41
Can the Social Network Hinder the Impact of COVID-19 on Economic Uncertainty? New Evidence from China41
Guaranteed Rate-setting Behavior, Life Insurance Premium, and Policyholder Protection40
Nineteen Years of Emerging Markets Finance and Trade: A Bibliometric Analysis40
Investor Limited Attention, Opinion Divergence, and Post-earnings-announcement Drift: Evidence from China39
How Climate Risk Affects Corporate Green Innovation: Fresh Evidence from China’s Listed Companies37
Geopolitical Risk and Trade Reorientation Dynamics: A Comparative Study37
In Search of Risk Havens in the Global South—Interconnectedness Between Mining Stocks and Energy Commodity Future35
Global Value Chain Disruptions and Firm Survival During COVID-19: An Empirical Investigation31
Multi-layer and Parallel-connected Graph Convolutional Networks for Detecting Debt Default in P2P Networks30
Analysis of the Evolution of the Status of ”The Belt and Road” in the World Trade Dependence Network29
Legal, Financial, and Strategic Forces in Cross-border Delivery Terms29
Why a Firm Hires Former Regulators: Governance Improvement or Regulation Circumvention?28
0.034703016281128