Does financial liberalization spur growth? G Bekaert, CR Harvey, C Lundblad Journal of Financial economics 77 (1), 3-55, 2005 | 4871* | 2005 |
Time‐varying world market integration G Bekaert, CR Harvey the Journal of Finance 50 (2), 403-444, 1995 | 3434 | 1995 |
Foreign speculators and emerging equity markets G Bekaert, CR Harvey The journal of finance 55 (2), 565-613, 2000 | 2787 | 2000 |
Emerging equity market volatility G Bekaert, CR Harvey Journal of Financial economics 43 (1), 29-77, 1997 | 2699 | 1997 |
Stock return predictability: Is it there? A Ang, G Bekaert The Review of Financial Studies 20 (3), 651-707, 2007 | 2296 | 2007 |
International asset allocation with regime shifts A Ang, G Bekaert The review of financial studies 15 (4), 1137-1187, 2002 | 2246 | 2002 |
Asymmetric volatility and risk in equity markets G Bekaert, G Wu The review of financial studies 13 (1), 1-42, 2000 | 2198 | 2000 |
Market integration and contagion G Bekaert, CR Harvey National Bureau of Economic Research, 2003 | 1625 | 2003 |
Financial advisory system CL Jones, WF Sharpe, JS Scott, JG Watson, JN Maggioncalda, G Bekaert, ... US Patent 6,021,397, 2000 | 1551 | 2000 |
Risk, uncertainty and monetary policy G Bekaert, M Hoerova, ML Duca Journal of Monetary Economics 60 (7), 771-788, 2013 | 1519 | 2013 |
Regime switches in interest rates A Ang, G Bekaert Journal of Business & Economic Statistics 20 (2), 163-182, 2002 | 1281 | 2002 |
Do macro variables, asset markets, or surveys forecast inflation better? A Ang, G Bekaert, M Wei Journal of monetary Economics 54 (4), 1163-1212, 2007 | 1190 | 2007 |
The global crisis and equity market contagion G Bekaert, M Ehrmann, M Fratzscher, A Mehl The Journal of Finance 69 (6), 2597-2649, 2014 | 1130 | 2014 |
International stock return comovements G Bekaert, RJ Hodrick, X Zhang The Journal of Finance 64 (6), 2591-2626, 2009 | 1101 | 2009 |
Emerging markets finance G Bekaert, CR Harvey Journal of empirical finance 10 (1-2), 3-55, 2003 | 1092 | 2003 |
Market integration and investment barriers in emerging equity markets G Bekaert The World Bank Economic Review 9 (1), 75-107, 1995 | 966 | 1995 |
Dating the integration of world equity markets G Bekaert, CR Harvey, RL Lumsdaine Journal of Financial Economics 65 (2), 203-247, 2002 | 931 | 2002 |
The VIX, the variance premium and stock market volatility G Bekaert, M Hoerova Journal of econometrics 183 (2), 181-192, 2014 | 925 | 2014 |
Characterizing predictable components in excess returns on equity and foreign exchange markets G Bekaert, RJ Hodrick The Journal of Finance 47 (2), 467-509, 1992 | 771 | 1992 |
Emerging equity markets and economic development G Bekaert, CR Harvey, C Lundblad Journal of development Economics 66 (2), 465-504, 2001 | 697 | 2001 |