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                             101 results found
no title author magazine year volume issue page(s) type
1 A brief history of mathematics in finance Akyıldırım, Erdinç
2014
1 p. 57-63
7 p.
article
2 Analysis of the response of exchange rates to specific FOMC announcements using high-frequency data Wang, Xiaoyong

1 p. 133-144
article
3 Are extreme negative returns priced in the Indian stock market? Aziz, Tariq
2018
1 p. 76-90
article
4 Bank contribution to financial sector systemic risk and expected returns: Evidence from large U.S. banks Usman, Muhammad

1 p. 203-216
article
5 Behavioural finance perspectives on Malaysian stock market efficiency Tuyon, Jasman
2016
1 p. 43-61
19 p.
article
6 Call for papers 2014
1 p. V-
1 p.
article
7 Can Islamic finance enhance the innovation capacity of Cameroonian SMEs? Empirical evidence based on a multivariate probit approach Haruna, Ali

1 p. 187-200
article
8 Carbon abatement pressure and corporate cash holdings: Evidence from China Xu, Guoquan

1 p. 84-94
article
9 Commodity market dynamics: Who's behind booms and busts? Irfanullah,

1 p. 55-75
article
10 Commodity price shocks related to the war in Ukraine and exchange rates of commodity exporters and importers Sokhanvar, Amin

1 p. 44-54
article
11 Corporate growth – Trade credit relationship: Evidence from a panel of countries Karakoç, Bahadır

1 p. 156-168
article
12 COVID-19 and connectedness between Sustainable and Islamic equity markets Naeem, Muhammad Abubakr

1 p. 1-21
article
13 Credit portfolio optimization: A multi-objective genetic algorithm approach Wang, Zhi

1 p. 69-76
article
14 Culture's influences: An investigation of inter-country differences in capital structure Mac an Bhaird, Ciaran
2014
1 p. 1-9
9 p.
article
15 Dependence structure across equity sectors: Evidence from vine copulas Aslam, Faheem

1 p. 184-202
article
16 Determinants of ICO success and post-ICO performance Aslan, Aylin

1 p. 217-239
article
17 Dilemma of deposit insurance policy in ASEAN countries: Does it promote banking industry stability or moral hazard? Kusairi, Suhal
2018
1 p. 33-40
article
18 Directional predictability in foreign exchange rates of emerging markets: New evidence using a cross-quantilogram approach Rehman, Mohd Ziaur

1 p. 145-155
article
19 Dissecting anomalies and dynamic human capital: The global evidence Roy, Rahul
2018
1 p. 1-32
article
20 Does auditing multiple clients affiliated with the same business group reduce audit quality? Evidence from an emerging market Ocak, Murat

1 p. 1-22
article
21 Does central banking promote financial development? Tayssir, Oueslati
2018
1 p. 52-75
article
22 Does credit default swap spread affect the value of the Turkish LIRA against the U.S. dollar? Hassan, M. Kabir
2017
1 p. 1-9
9 p.
article
23 Does environmental innovation improve investment efficiency? Rehman, Ijaz Ur

1 p. 164-175
article
24 Does financial liberalization spur economic growth? A meta-analysis Brada, Josef C.

1 p. 1-13
article
25 Does information communication promote financial development? Empirical evidence from China Wu, Binghui

1 p. 136-148
article
26 Does investment deposit return in Islamic banks reflect PLS principle? Hamza, Hichem
2016
1 p. 32-42
11 p.
article
27 Does Islamic microfinance serve maqāsid al-shari'a? Alkhan, Ahmed Mansoor

1 p. 57-68
article
28 Does monetary integration lead to an increase in FDI flows? An empirical investigation from the West African Monetary Zone (WAMZ) Cham, Tamsir
2016
1 p. 9-20
12 p.
article
29 Does short-term technical trading exist in the Vietnamese stock market? Nguyen, Duc Khuong

1 p. 23-35
article
30 Does the interest tax shield align with maqasid al Shariah in finance? Zaman, Qamar Uz
2019
1 p. 39-48
article
31 Does U.S. macroeconomic news make emerging financial markets riskier? Cakan, Esin
2015
1 p. 37-43
7 p.
article
32 Do financial inclusion and income inequality matter for human capital? Evidence from sub-Saharan economies Huang, Wenjing

1 p. 22-33
article
33 Do institutional quality and financial development affect sustainable economic growth? Evidence from South Asian countries Ahmed, Farhan

1 p. 189-196
article
34 Dynamics of the impact of currency fluctuations on stock markets in India: Assessing the pricing of exchange rate risks Mahapatra, Smita
2019
1 p. 15-23
article
35 Earnings management and theoretical adjustment in capital structure performance pattern: Evidence from APTA economies Shoaib, Adnan

1 p. 20-36
article
36 Economic development, financial development, and income inequality nexus Kavya, T.B.

1 p. 80-93
article
37 Editorial Board
1 p. ii
article
38 Effects of mergers on corporate performance: An empirical evaluation using OLS and the empirical Bayesian methods Rashid, Abdul
2017
1 p. 10-24
15 p.
article
39 Emerging market portfolios and Islamic financial markets: Diversification benefits and safe havens Bugan, Mehmet Fatih

1 p. 77-91
article
40 Empirical dynamics of emerging financial markets during the global mortgage crisis Aktuğ, Rahmi Erdem
2015
1 p. 17-36
20 p.
article
41 Exchange rates, credit default swaps and market volatility of emerging markets: Panel CS-ARDL approach Wang, Alan T.

1 p. 176-186
article
42 Finance, talent and income inequality: Cross-country evidence Seven, Ünal

1 p. 57-68
article
43 Financial constraints and firm employment: Evidence from Turkey Atabek Demirhan, Aslıhan

1 p. 69-79
article
44 Financial inclusion and stability in the Asian region using bank-level data Vo, Duc Hong

1 p. 36-43
article
45 Financial structure and economic growth nexus revisited Chu, Lan Khanh

1 p. 24-36
article
46 Firm climate change risk and financial flexibility: Drivers of ESG performance and firm value Naseer, Mirza Muhammad

1 p. 106-117
article
47 Geopolitical risks and the energy-stock market nexus: Evidence from Turkiye Böyükaslan, A.

1 p. 73-83
article
48 Global financial crisis and co-movements between oil prices and sector stock markets in Saudi Arabia: A VaR based wavelet Mensi, Walid
2019
1 p. 24-38
article
49 House price connectedness and consumer sentiment in an era of destabilizing macroeconomic conditions: Empirical evidence from Türkiye Balcılar, Mehmet

1 p. 14-34
article
50 How does crisis affect efficiency? An empirical study of East Asian markets Rizvi, Syed Aun R.
2016
1 p. 1-8
8 p.
article
51 Idiosyncratic risk puzzle and its pricing: Do firm characteristics matter? Evidence of BRICS countries Kausar, Saba

1 p. 149-168
article
52 Impact of international and local conditions on sovereign bond spreads: International evidence Izadi, Selma
2018
1 p. 41-51
article
53 Information diffusion, trading speed and their potential impact on price efficiency – Literature review Lenczewski Martins, Carlos Jorge

1 p. 122-132
article
54 Innovating for a greener future: The role of green bonds in advancing energy innovation Wei, Tailong

1 p. 35-46
article
55 Institutional quality and the financial inclusion-poverty alleviation link: Empirical evidence across countries Aracil, Elisa

1 p. 179-188
article
56 Intellectual capital efficiency and bank performance: Evidence from islamic banks Ur Rehman, Aziz

1 p. 113-121
article
57 Interdependence between Islamic capital market and money market: Evidence from Indonesia Wahyudi, Imam
2014
1 p. 32-47
16 p.
article
58 Investor psychology in the stock market: An empirical study of the impact of overconfidence on firm valuation Aljifri, Ruqayya

1 p. 93-112
article
59 Is political risk still an issue for Turkish stock market? Günay, Samet
2016
1 p. 21-31
11 p.
article
60 Macroeconomic drivers of Public Private Partnership (PPP) projects in low income and developing countries: A panel data analysis Yurdakul, Hakan

1 p. 37-46
article
61 Macroprudential policy and tools in a dual banking system: Insights from the literature Zulkhibri, Muhamed
2019
1 p. 65-76
article
62 Market multiples and stock returns among emerging and developed financial markets Akhtar, Tahir

1 p. 44-56
article
63 Multivariate market risk evaluation between Malaysian Islamic stock index and sectoral indices Ng, Sew Lai
2017
1 p. 49-61
13 p.
article
64 Optimal hedge ratios and hedging effectiveness: An analysis of the Turkish futures market Buyukkara, Goknur

1 p. 92-102
article
65 Order imbalance and commonality: Evidence from the options market Omole, John

1 p. 1-11
article
66 Overlapping portfolio holdings and unique sources of emerging market risk Tomtosov, Aleksandr

1 p. 201-217
article
67 Performance analysis of Islamic and conventional portfolios: The emerging markets case Trabelsi, Lotfi

1 p. 48-54
article
68 Post-earnings announcement drift: Evidence from Turkey Ahlatcıoğlu, Aykut

1 p. 92-103
article
69 Predicting IPO initial returns using random forest Baba, Boubekeur

1 p. 13-23
article
70 Price jumps on European stock markets Hanousek, Jan
2014
1 p. 10-22
13 p.
article
71 Ramifications of varying banking regulations on performance of Islamic Banks Alam, Nafis
2019
1 p. 49-64
article
72 Reexamining the relationship between ESG and firm performance: Evidence from the role of Buddhism Fu, Panpan

1 p. 47-60
article
73 Revisiting the nexus among foreign direct investment, corruption and growth in developing and developed markets Qureshi, Fiza

1 p. 80-91
article
74 Shadow banking Regulation and the stock price synchronicity --A quasi-natural experiment based on China's new asset management regulation Yu, Ziqin

1 p. 118-136
article
75 Short selling and trade credit: New evidence Xiang, Xin

1 p. 61-72
article
76 Simulations of US-Iran war and its impact on global oil price behavior Ruiz Estrada, Mario Arturo

1 p. 1-12
article
77 Stability of the “returns–growth” relationship in G7: The dynamic conditional lagged correlation approach Lyócsa, Štefan
2014
1 p. 48-56
9 p.
article
78 Stock markets volatility spillovers during financial crises: A DCC-MGARCH with skewed-t density approach Bala, Dahiru A.
2017
1 p. 25-48
24 p.
article
79 Synergy between stock prices and investor sentiment in social media Liu, Qing

1 p. 76-92
article
80 Tail risk analysis of the S&P/OIC COMCEC 50 index Bekri, Mahmoud
2015
1 p. 1-16
16 p.
article
81 Tail-risk connectedness between sukuk and conventional bond markets and their determinants: Evidence from a country-level analysis Billah, Syed Mabruk

1 p. 137-163
article
82 The balance between fiscal consolidation and non-oil growth: The case of the UAE Mahmah, Assil EL.
2019
1 p. 77-93
article
83 The day of the week effect and interest rates Gayaker, Savas

1 p. 55-63
article
84 The effects of national culture on financial sector development: Evidence from emerging and developing economies Khan, Muhammad Atif

1 p. 103-112
article
85 The impact of macroeconomic and conventional stock market variables on Islamic index returns under regime switching Bahloul, Slah
2017
1 p. 62-74
13 p.
article
86 The impact of monetary policy on bank lending rate in South Africa Matemilola, B.T.
2015
1 p. 53-59
7 p.
article
87 The impact of non-financial disclosure on labor investment: International evidence Pereira da Silva, Paulo

1 p. 218-234
article
88 The impacts of foreign portfolio flows and monetary policy responses on stock markets by considering COVID-19 pandemic: Evidence from Turkey Kartal, Mustafa Tevfik

1 p. 12-19
article
89 The implied volatility index: Is ‘investor fear gauge’ or ‘forward-looking’? Shaikh, Imlak
2015
1 p. 44-52
9 p.
article
90 The importance of trust distance on stock market correlation: Evidence from emerging economics Liu, Yuna

1 p. 37-47
article
91 The interplay of skills, digital financial literacy, capability, and autonomy in financial decision making and well-being Kumar, Parul

1 p. 169-183
article
92 The necessity of financial inclusion for enhancing the economic impacts of remittances Chuc, Anh Tu

1 p. 47-56
article
93 The nexus of anomalies-stock returns-asset pricing models: The international evidence Roy, Rahul
2019
1 p. 1-14
article
94 The portfolios with strong brand value: More returns? Lower risk? Bank, Semra

1 p. 64-79
article
95 The relationship between long-term portfolio investments and growth in the context of asset characteristics and development level Sugozu, Ibrahim Halil

1 p. 34-43
article
96 The relative importance of textual indexes in predicting the future performance of banks: A connection weight approach Iqbal, Javid

1 p. 240-253
article
97 The role of green finance in reducing CO2 emissions: An empirical analysis Saeed Meo, Muhammad

1 p. 169-178
article
98 Unlocking the green vault: A comparative analysis on the impact of green financing initiatives in mitigating ecological footprint in Europe Sun, Xiaohua

1 p. 95-105
article
99 What are the effects of financial stress on economic activity and government debt? An empirical examination in an emerging economy Kasal, Süleyman

1 p. 254-267
article
100 What determines return risks for bank equities in Turkey? Ozsoz, Emre
2014
1 p. 23-31
9 p.
article
101 Who affects whom? Impact of the national culture of international audit firms and their affiliates on the financial reporting quality of audit clients Acar, Merve

1 p. 113-135
article
                             101 results found
 
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