Emerging Markets Finance and Trade

Papers
(The H4-Index of Emerging Markets Finance and Trade is 25. 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 2021-09-01 to 2025-09-01.)
ArticleCitations
Impact of Local Government Competition and Land Finance on Haze Pollution: Empirical Evidence from China216
Impact of Enterprises Relationship on ML’s Ability to Forecast SME’s Credit Risk in SCF: A Research Based on Complex Network183
Could Digital Trade Promote Global Value Chain Participation? Evidence from Multinational Data87
Guaranteed Rate-setting Behavior, Life Insurance Premium, and Policyholder Protection83
Production Suspension, Corporate Governance, and Firm Value77
Services Liberalization and Manufacturing Employment Polarization: Evidence from Chinese Listed Manufacturing Firms68
Intraday Return Forecasts and High-Frequency Trading of Stock Index Futures: A Hybrid Wavelet-Deep Learning Approach62
Are Academic Leaders Less Aggressive? Evidence from Corporate Expansion46
The Impact of Debt Relief to Africa on Creditor Countries’ Product Exports: Evidence from China45
Unintended Consequences of Social Insurance Law on Stock Price Crash Risk: Quasi-Natural Experimental Evidence from China44
Good (Bad) News and the Probability of Informed Trading: Evidence from Illegal Insider Trading44
The Path and Mechanism of Business Strategy Influencing the Strategic ESG Behavior: Evidence from Chinese Enterprises43
The Impact of Government Assessment Transformation on Green Entrepreneurship: Evidence from China37
Regional Digital Finance and Corporate Financial Risk: Based on Chinese Listed Companies36
Oceans Apart? China and Other Systemically Important Economies35
Decision-Making of Discretionary Goodwill Impairments—Evidence from Publicly Listed Firms in China35
How to Comprehensively Evaluate Firm Performance from Operational, Financial, and Sustainability Perspectives? A Two-Stage Data Envelopment Analysis Approach33
In Search of Risk Havens in the Global South—Interconnectedness Between Mining Stocks and Energy Commodity Future32
Shadow Banking, Stock Market Volatility, and Stock-Money Market Correlation: Evidence from China30
CEO Overconfidence, Loan-Loss Provisions, and the Effect of Country Corruption: An International Investigation29
Does Fintech Development Matter for Export Technological Sophistication? Evidence from Chinese Enterprises29
Economic Growth, Urban Governance, and Environment Protection28
Regional Integrity and Corporate Green-Technology Innovation: Evidence from Deadbeat Borrowers in China27
How Climate Risk Affects Corporate Green Innovation: Fresh Evidence from China’s Listed Companies27
Can Short Selling Improve the Quality of Information Disclosure in Clarification Announcements by Firms Faced with Market Rumors?26
Digital Economy and Corporate Innovation: Evidence from China25
Breaking the Model: Does Technical Efficiency Propel or Hinder Bank Risk? Evidence from the Chinese Banking Industry25
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