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Emerging markets have long posed a challenge for finance. Standard
models are often ill suited to deal with the specific circumstances
arising in these markets. However, the interest in emerging markets
has provided impetus for the adaptation of current models to new
circumstances and the development of new models. During recent
years, much new research has been devoted to emerging markets. This
important collection presents key articles in this literature.
Topics include: the properties of emerging market equity returns;
diversification benefits; market integration and segmentation of
emerging markets; the financial and real effects of the financial
liberalization process that many countries embarked upon; the late
nineties crises and the debate regarding contagion; and
microstructure in emerging markets. The collection will be of
interest to academics in international finance, international
economics and development economics and to practitioners and
policymakers alike.
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