Digitale Bibliotheek
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                             94 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A comparison of bid-ask spread proxies and determinants of bond bid-ask spread Su, Emre

3 p. 227-238
artikel
2 Air pollution and local government financing costs: Evidence from the Chinese municipal corporate bond spread Wei, Xiaokun

3 p. 647-661
artikel
3 Algorithmic trading, the Flash Crash, and coordinated circuit breakers Subrahmanyam, Avanidhar
2013
3 p. 4-9
6 p.
artikel
4 An analysis of constructing global financial inclusion indices Yorulmaz, Recep
2018
3 p. 248-258
artikel
5 A new multivariate approach for assessing corporate financial risk using balance sheets Çolak, Mehmet Selman

3 p. 239-255
artikel
6 A novel approach to using modern portfolio theory Surtee, Taariq G.H.

3 p. 527-540
artikel
7 Are Islamic bonds different from conventional bonds? International evidence from capital market tests Alam, Nafis
2013
3 p. 22-29
8 p.
artikel
8 A six-factor asset pricing model Roy, Rahul
2018
3 p. 205-217
artikel
9 Asymmetric volatility connectedness among main international stock markets: A high frequency analysis Mensi, Walid

3 p. 291-306
artikel
10 Bank loan loss provisions research: A review Ozili, Peterson K.
2017
3 p. 144-163
20 p.
artikel
11 Banks' characteristics, state ownership and vulnerability to sanctions: Evidences from Iran Bolgorian, Meysam
2019
3 p. 264-272
artikel
12 Blind following in the boardroom: Evidence of overconfidence contagion in Chinese listed companies Liang, Chao

3 p. 594-606
artikel
13 Board age and value diversity: Evidence from a collectivistic and paternalistic culture Arioglu, Emrah

3 p. 209-226
artikel
14 Board gender diversity and stock price crash risk: Going beyond tokenism Qayyum, Ayesha

3 p. 269-280
artikel
15 Business cycles and energy intensity. Evidence from emerging economies Li, Tinghui

3 p. 560-570
artikel
16 Business cycle volatility, growth and financial openness: Does Islamic finance make any difference? Djennas, Mustapha
2016
3 p. 121-145
25 p.
artikel
17 Can ESG mitigate the diversification discount in cross-border M&A? Kim, Byoung-jin

3 p. 607-615
artikel
18 Capital adequacy implications on Islamic and non-Islamic bank's behavior: Does market power matter? Louati, Salma
2015
3 p. 192-204
13 p.
artikel
19 Closing price manipulation in Borsa Istanbul and the impact of call auction sessions Kadıoğlu, Eyüp
2015
3 p. 213-221
9 p.
artikel
20 Corrigendum to “A brief history of mathematics in finance” [Borsa Istanbul Rev 14 (2014) 57–63] Akyıldırım, Erdinç
2014
3 p. 189-
1 p.
artikel
21 Cross-sectional reversal of intraday returns and investor heterogeneity in an emerging market Chu, Xiaojun

3 p. 614-627
artikel
22 Deficits and inflation; Are monetary and financial institutions worthy to consider or not? Ishaq, Tahira
2015
3 p. 180-191
12 p.
artikel
23 Democracy and corporate R&D investment Tran, Quoc Trung

3 p. 465-476
artikel
24 Developing financial disclosure quality in sukuk and bond market: Evidence from Indonesia, Malaysia, and Australia Qizam, Ibnu
2019
3 p. 228-248
artikel
25 Digital financial inclusion and sustainable employment: Evidence from countries along the belt and road Geng, Zhechen

3 p. 307-316
artikel
26 Diversity and risk taking in Islamic banks: Does public listing matter? Jabari, Huthayfa Nabeel

3 p. 546-559
artikel
27 Do bubbles occur in the gold price? An investigation of gold lease rates and Markov Switching models Lucey, Brian M.
2013
3 p. 53-63
11 p.
artikel
28 Does green finance really deliver what is expected? An empirical perspective Khan, Muhammad Asif

3 p. 586-593
artikel
29 Does innovation in environmental, social, and governance disclosures pay off in China? An integrated reporting perspective Sun, Yanqi

3 p. 600-613
artikel
30 Does investing in intellectual capital improve productivity? Panel evidence from commercial banks in India Oppong, Godfred Kesse
2019
3 p. 219-227
artikel
31 Does reputation matter in the dividend smoothing policy of emerging market firms? Empirical evidence from India Syed, Karim Bux Shah
2018
3 p. 191-204
artikel
32 Does the trading volume of asset management companies’ bonds contain information on non-performing loans? Pirgaip, Burak

3 p. 426-440
artikel
33 Doing well while doing good: The case of Islamic and sustainability equity investing Azmi, Wajahat
2019
3 p. 207-218
artikel
34 Dynamic common correlated effects of financial inclusion on foreign direct investment: Evidence from East-Asia and Pacific countries Chen, Yue Sheng

3 p. 541-549
artikel
35 Editorial Introduction 2013
3 p. 3-
1 p.
artikel
36 Effects of commodity exchange-traded note introductions: Adjustment for seasonality Yu, Jinyoung

3 p. 244-256
artikel
37 ESG practices and corporate financial performance: Evidence from Borsa Istanbul Saygili, Ebru

3 p. 525-533
artikel
38 Event studies in Turkey Basdas, Ulkem
2014
3 p. 167-188
22 p.
artikel
39 Exchange rate uncertainty and the connectedness of inflation Çitçi, Sadettin Haluk

3 p. 723-735
artikel
40 Exploring market overreaction, investors’ sentiments and investment decisions in an emerging stock market Parveen, Shagufta

3 p. 224-235
artikel
41 Explosive behavior in the real estate market of Turkey Cagli, Efe Caglar
2019
3 p. 258-263
artikel
42 Factoring as a determinant of capital structure for large firms: Theoretical and empirical analysis Bilgin, Rumeysa
2019
3 p. 273-281
artikel
43 Financial integration between sukuk and bond indices of emerging markets: Insights from wavelet coherence and multivariate-GARCH analysis Bhuiyan, Rubaiyat Ahsan
2018
3 p. 218-230
artikel
44 Financial integration in emerging market economies: Effects on volatility transmission and contagion Ben Rejeb, Aymen
2015
3 p. 161-179
19 p.
artikel
45 Food insecurity and sovereignty threat to uncontrolled price spillover effects in financialized agricultural products: The red meat case in Turkiye Urak, Faruk

3 p. 580-599
artikel
46 Foreign penetration, competition, and credit risk in banking Natsir, Muhammad
2019
3 p. 249-257
artikel
47 Foreword 2013
3 p. 1-2
2 p.
artikel
48 Frontier economies and economic growth: Evidence from European and Central Asian Countries Bajra, Ujkan Q.

3 p. 279-291
artikel
49 Global and country-specific geopolitical risk uncertainty and stock return of fragile emerging economies Hoque, Mohammad Enamul

3 p. 197-213
artikel
50 Green finance and green transition by enterprises: An exploration of market-oriented governance mechanisms Chi, Yi

3 p. 628-646
artikel
51 How does corporate social performance affect investment inefficiency? An empirical study of China market Ho, Kung-Cheng

3 p. 515-524
artikel
52 How investor attention affects stock returns? Some international evidence Akarsu, Sergen

3 p. 616-626
artikel
53 Influences of Taiwan's corporate social responsibility report management policy on the information transparency of its capital market Tseng, Tzu-Yun

3 p. 487-497
artikel
54 Institutions and the finance–growth nexus: Empirical evidence from MENA countries Gazdar, Kaouthar
2015
3 p. 137-160
24 p.
artikel
55 Intellectual capital and financial performance: A study of the Turkish Banking Sector Ozkan, Nasif
2017
3 p. 190-198
9 p.
artikel
56 International issuance of Sukuk and companies' systematic risk: An empirical study Mseddi, Slim

3 p. 550-579
artikel
57 Investment characteristics, stock characteristics and portfolio diversification of finance professionals Khan, Mohammad Tariqul Islam
2017
3 p. 164-177
14 p.
artikel
58 Law and Islamic finance: How legal origins affect Islamic finance development? Grassa, Rihab
2014
3 p. 158-166
9 p.
artikel
59 Leveraging financial inclusion through Islamic microfinance: A new model proposal for participation banks in Turkiye Ozdemir, Mucahit

3 p. 709-722
artikel
60 Liquidity flows, drawdowns and trading networks in order driven markets: An application to Borsa Istanbul Uslu, Çağrı Levent
2018
3 p. 176-190
artikel
61 Market efficiency and the capacity of stock prices to track a firm's future profitability Pereira da Silva, Paulo

3 p. 452-464
artikel
62 Modeling dependence structure between stock market volatility and sukuk yields: A nonlinear study in the case of Saudi Arabia Naifar, Nader
2016
3 p. 157-166
10 p.
artikel
63 Oil assets and portfolio diversification: Firm-level analysis for Borsa Istanbul Evrim Mandacı, Pınar

3 p. 571-585
artikel
64 Oil price volatility, Islamic financial development and economic growth in Gulf Cooperation Council (GCC) countries Gazdar, Kaouthar
2019
3 p. 197-206
artikel
65 On systemic risk contagion in the euro area: Evidence from frequency connectedness and the DY approaches Polat, Onur

3 p. 441-451
artikel
66 Performance persistence in institutional investment management: The case of Chinese equity funds Rao, Zia-ur-Rehman
2016
3 p. 146-156
11 p.
artikel
67 Policy uncertainty and Bitcoin returns Shaikh, Imlak

3 p. 257-268
artikel
68 Pricing options with dual volatility input to modular neural networks Fadda, Sadi

3 p. 269-278
artikel
69 Risk, capital and financial crisis: Evidence for GCC banks Ghosh, Saibal
2014
3 p. 145-157
13 p.
artikel
70 Stock liquidity, stock price crash risk, and foreign ownership Sezgin Alp, Ozge

3 p. 477-486
artikel
71 Tax optimization and the firm's value: Evidence from the Tunisian context Assidi, Soufiene
2016
3 p. 177-184
8 p.
artikel
72 Testing the random walk hypothesis for leading cryptocurrencies Palamalai, Srinivasan

3 p. 256-268
artikel
73 The causal linkages between investor sentiment and excess returns on Borsa Istanbul Cagli, Efe Caglar

3 p. 214-223
artikel
74 The choice of direct dealing or electronic brokerage in foreign exchange trading Melvin, Michael
2013
3 p. 10-21
12 p.
artikel
75 The dynamic effect of corporate financial hedging on firm value: The case of Indian MNCs Das, Jyoti Prakash

3 p. 696-708
artikel
76 The effect of Islamic banks on GDP growth: Some evidence from selected MENA countries Boukhatem, Jamel
2018
3 p. 231-247
artikel
77 The effect of managerial ability on voluntary disclosure of carbon emissions Lee, Jaehong

3 p. 685-695
artikel
78 The effect of product market competition on stability and capital ratio of banks in Southeast Asian countries Islam, Md Aminul

3 p. 292-300
artikel
79 The financial determinants of corporate cash holdings in an oil rich country: Evidence from Kingdom of Saudi Arabia Guizani, Muncef
2017
3 p. 133-143
11 p.
artikel
80 The impact of non-performing loan sales on the stock market: The role of corporate governance in an emerging market Pirgaip, Burak

3 p. 674-684
artikel
81 The performance of hedge fund indices Atilgan, Yigit
2013
3 p. 30-52
23 p.
artikel
82 The response of exchange rates to economic policy uncertainty: Evidence from Russia Sohag, Kazi

3 p. 534-545
artikel
83 The role of active management and asset allocation policy on government and corporate bond fund returns Arbaa, Ofer
2018
3 p. 167-175
artikel
84 The role of Foreign Direct Investment (FDI) in a dualistic growth framework: A smooth coefficient semi-parametric approach Aurangzeb, Zeb
2014
3 p. 133-144
12 p.
artikel
85 The value relevance of risk-related disclosure: Does the tone of disclosure matter? Elshandidy, Tamer

3 p. 498-514
artikel
86 The winner-loser effect in the Tunisian stock market: A multidimensional risk-based explanation Boussaidi, Ramzi
2017
3 p. 178-189
12 p.
artikel
87 Time-varying propagations between oil market shocks and a stock market: Evidence from Turkey Polat, Onur

3 p. 236-243
artikel
88 Underpricing and aftermarket performance of IPOs during the Covid-19 period: Evidence from Istanbul stock exchange İlbasmış, Metin

3 p. 662-673
artikel
89 Volatility, trading activity and maximum lot amounts: Evidence from Borsa Istanbul Gülay, Güzhan

3 p. 409-425
artikel
90 Volatility transmitter or receiver? Investigating dynamic connectedness between the carry trade and financial markets Nefzi, Nourhaine

3 p. 748-758
artikel
91 War-related risks and the İstanbul bourse on the eve of the First World War Hanedar, Avni Önder
2015
3 p. 205-212
8 p.
artikel
92 What are the biggest obstacles to growth of SMEs in developing countries? – An empirical evidence from an enterprise survey Wang, Yao
2016
3 p. 167-176
10 p.
artikel
93 What does currency order flow tell about spot exchange rates of Asian emerging markets? Aftab, Muhammad

3 p. 281-290
artikel
94 What do we know about the relationship between banks’ risk measures and social-environmental sustainability transparency? de Moraes, Claudio Oliveira

3 p. 736-747
artikel
                             94 gevonden resultaten
 
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