
Academic Journal
Q3Macroeconomics and Finance in Emerging Market Economies
About Macroeconomics and Finance in Emerging Market Economies
Macroeconomics and Finance in Emerging Market Economies is a scholarly journal published by Taylor and Francis Ltd.. SCImago 2025 lists it in Q3, with an SJR of 0.282 and H-index of 17.
Coverage: 2010-2026. Research categories: Economics and Econometrics (Q3); Finance (Q3).
Verified field sources
- Journal Impact Factor: 1.3 — Official source; checked 2026-10-03. Publisher-reported Journal Impact Factor and year from Taylor & Francis About this journal information.
- Impact Factor year: 2025 — Official source; checked 2026-10-03. Publisher-reported Journal Impact Factor and year from Taylor & Francis About this journal information.
Source-backed journal facts
Topics in published research
Monetary Policy and Economic Impact; Global Financial Crisis and Policies; Market Dynamics and Volatility; Banking stability, regulation, efficiency; Corporate Finance and Governance; Fiscal Policy and Economic Growth.
OpenAlex classifies topics from published works. These topics are not the publisher’s official aims and scope.
Source: OpenAlex source record. Retrieved 2026-10-03. Source record updated 2026-10-01. OpenAlex metrics are different from SCImago metrics and the Clarivate Journal Impact Factor.
Journal Metrics
Quartile, SJR and the listed SCImago H-index use the 2025 imported SCImago dataset. A quartile may vary by subject category. Values without a source or reporting year are unverified historical entries. Verify the current Journal Impact Factor with Clarivate or the publisher before using it.
Aims & Scope
The publisher’s official aims and scope have not yet been verified for this profile. Use the journal website to check subject fit and accepted article types before submitting.
Recent Research Articles
Latest publications matched automatically by ISSN.
Beyond static models - multiscale and time-varying approaches to hedging commodities
Padma Bharati, Saumitra Bhaduri
2026-09-23 · DOI: 10.1080/17520843.2026.2720311Green corporate governance and stock price crash risk: evidence from an emerging market
Quang Khai Nguyen, Thi Thanh An Tran, Thi Van Anh Tran, Tra My Huynh et al.
2026-09-22 · DOI: 10.1080/17520843.2026.2732735Do fiscal rules limit fiscal space?
Gift Matabwa, Lucius Cassim, Bertha Nguluwe
2026-08-24 · DOI: 10.1080/17520843.2026.2720057The asymmetric impact of exchange rate on inflation in Vietnam: a NARDL analysis
Hoa Cong Nguyen, Dan Ngoc Thanh Tran
2026-07-21 · DOI: 10.1080/17520843.2026.2702743Dynamic links between commodities and financial markets under recent crises: evidence from BRICS countries
Mourad Mroua, Nada Suissi, Marwa Eleuch
2026-07-20 · DOI: 10.1080/17520843.2026.2702708The role of government effectiveness in shaping the impact of remittance on economic performance: insights from developing economies
Kirtiranjan Das, Manoranjan Sahoo, Sarbeswar Mohanty
2026-07-17 · DOI: 10.1080/17520843.2026.2702214Towards sustainable economic growth: a bibliometric analysis of digital financial inclusion, financial development, and institutional quality
Rida Khallouq, Rachid Ouchchikh
2026-07-13 · DOI: 10.1080/17520843.2026.2698980Dual-track monetary transmission and corporate debt structure: evidence and policy lessons from India
Neha Sharma, Gourishankar S. Hiremath
2026-07-10 · DOI: 10.1080/17520843.2026.2700877The ripple effect: asymmetric geopolitical risks and the dynamics of India’s macroeconomic fundamentals – evidence from the local projection model
Masudul Hasan Adil, Sohan Balachandran
2026-07-08 · DOI: 10.1080/17520843.2026.2700411Beyond uniform fiscal rules: measuring heterogeneous fiscal stress across Indian states using state-specific PCA
Chandra Kant Parmar
2026-07-07 · DOI: 10.1080/17520843.2026.2698176Unveiling macroeconomic resilience: insights through the lens of bibliometric analysis
Theophine D, Visalakshmi S
2026-07-06 · DOI: 10.1080/17520843.2026.2697562A DSGE-based analysis of macroeconomic stability in the India–Middle East–Europe Economic Corridor (IMEC)
Kashif Hasan Khan, Iman Bastanifar, Zahra Mohammadi
2026-06-30 · DOI: 10.1080/17520843.2026.2696182Stock market efficiency in MENA countries during crises: insights from Shannon and Tsallis entropy
Sirine Ben Yaala, Manel Mahjoubi, Jamel Eddine Henchiri
2026-06-20 · DOI: 10.1080/17520843.2026.2692257Does financial development promote intra-regional trade in Sub-Saharan Africa? The muted synergistic effect of economic growth
Desalegn Degu Tebeje, Getaneh Mihret Ayele, Surafel Melak Dilie
2026-06-15 · DOI: 10.1080/17520843.2026.2684178Impact of the United States reciprocal tariff policy on stock market volatility and the resilience of technology-based companies in Indonesia
Bahri Bahri, Eka Astra Susilawaty, Irvan Bravely, Hanna Hanna et al.
2026-06-09 · DOI: 10.1080/17520843.2026.2685410Post-pandemic inflation in India: impact of input costs and wages
Nishant Singh, Paras
2026-05-29 · DOI: 10.1080/17520843.2026.2673676The paradox of quantitative easing in emerging markets: risk, crowding-out, and the limits of monetary policy in Morocco
Marwan Rouahi, Abid Ihadiyan
2026-05-28 · DOI: 10.1080/17520843.2026.2668162Driving growth through infrastructure: evidence from the West African Economic and Monetary Union (WAEMU) countries
Michael Kouadio, Fabrice Anzara, Michel Krah
2026-05-11 · DOI: 10.1080/17520843.2026.2671544From volatility to stability: how ICT infrastructure mitigates growth penalties in SSA (a system GMM approach)
Wogene Markos Dumo
2026-04-08 · DOI: 10.1080/17520843.2026.2657085Moderating role of macroprudential policy on the bank credit–output nexus in Vietnam: evidence from state-dependent analysis
Bao Nguyen Khac Quoc, Tinh Pham Duy
2026-03-25 · DOI: 10.1080/17520843.2026.2650017Reviews
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Version History
October 4, 2026 at 9:31 pm
October 2, 2026