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                             104 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Adequacy of audit committees: A study of deposit banks in Turkey Kartal, Mustafa Tevfik
2018
2 p. 150-165
artikel
2 Analyzing performance determinants: Conventional versus Islamic Banks in Pakistan Rashid, Abdul
2016
2 p. 92-107
16 p.
artikel
3 An analysis through credit default swap, asset swap and zero-volatility spreads: Coup attempt and Bist 100 volatility Gunay, Samet
2019
2 p. 158-170
artikel
4 A novel distance-based moving average model for improvement in the predictive accuracy of financial time series Ejder, Uğur

2 p. 376-397
artikel
5 Are ETFs good vehicles for diversification? New evidence for critical investment periods Duarte Neves, Maria Elisabete
2019
2 p. 149-157
artikel
6 Asymmetric volatility transmission across Northeast Asian stock markets Lee, Woo Suk

2 p. 341-351
artikel
7 Behavioral finance: Finance with normal people Statman, Meir
2014
2 p. 65-73
9 p.
artikel
8 Blockchain mania: A perspective on corporate executive opportunism Wang, Qilin

2 p. 424-434
artikel
9 Busyness and advising at Borsa Istanbul firms Arioğlu, Emrah
2015
2 p. 126-136
11 p.
artikel
10 Can digital finance promote urban innovation? Evidence from China Li, Zhenghui

2 p. 285-296
artikel
11 Capital flows under global uncertainties: Evidence from Turkey Çepni, Oğuzhan

2 p. 175-185
artikel
12 Capital, funding liquidity, and bank lending in emerging economies: An application of the LSDVC approach Dahir, A.M.
2019
2 p. 139-148
artikel
13 Corporate cash holdings in emerging markets Diaw, Alassane

2 p. 139-148
artikel
14 Corporate derivatives use and firm value: Evidence from Turkey Ayturk, Yusuf
2016
2 p. 108-120
13 p.
artikel
15 Corporate ESG investments and Firm's value under the real-option framework: Evidence from two world-leading economies Bagh, Tanveer

2 p. 324-340
artikel
16 Corporate social responsibility news and stock performance: A systematic literature review Ergen Keleş, Fatma Hilal

2 p. 443-463
artikel
17 Determinants of a global financial center: An exploratory analysis Vo, Duc Hong

2 p. 186-196
artikel
18 Determinants of bank efficiency in Turkey: Participation banks versus conventional banks Eyceyurt Batir, Tugba
2017
2 p. 86-96
11 p.
artikel
19 Determinants of banking sector development: Evidence from Sub-Saharan African countries Aluko, Olufemi A.
2018
2 p. 122-139
artikel
20 Digital financial inclusion in the context of financial development: Environmental destruction or the driving force for technological advancement Oanh, Tran Thi Kim

2 p. 292-303
artikel
21 Do analysts pay attention to managerial sentiment? Evidence from analysts' following decisions and earnings forecasts Zeng, Yongliang

2 p. 269-284
artikel
22 Does an Islamic-SRI portfolio really matter? Empirical application of valuation models in Indonesia Qoyum, Abdul

2 p. 105-124
artikel
23 Does a search attention index explain portfolio returns in India? Dharani, Munusamy

2 p. 226-239
artikel
24 Does intellectual capital efficiency explain corporate social responsibility engagement-firm performance relationship? Evidence from environmental, social and governance performance of US listed firms Shahzad, Faisal

2 p. 295-305
artikel
25 Does intense monitoring matter? A quantile regression approach Shawtari, Fekri Ali
2017
2 p. 75-85
11 p.
artikel
26 Does stock market listing boost or impede corporate investment? Yarba, Ibrahim

2 p. 285-294
artikel
27 Does the financialization of agricultural commodities impact food security? An empirical investigation R. L., Manogna

2 p. 280-291
artikel
28 Does the islamic label indicate good environmental, social, and governance (ESG) performance? Evidence from sharia-compliant firms in Indonesia and Malaysia Qoyum, Abdul

2 p. 306-320
artikel
29 Do market differences matter on dividend policy? Tekin, Hasan

2 p. 197-208
artikel
30 Editorial Board
2 p. ii
artikel
31 Effect of analysts' earnings pressure on environmental information disclosure of firms: Can corporate governance alleviate the earnings obsession? Zhang, Ming

2 p. 495-515
artikel
32 ESG, dividend payout policy and the moderating role of audit quality: Empirical evidence from Western Europe Zahid, R.M. Ammar

2 p. 350-367
artikel
33 ESG performance and organizational resilience ——based on an “extreme heat event” Liu, Haiyue

2 p. 304-313
artikel
34 Examining the dynamics of illiquidity risks within the phases of the business cycle Racicot, François-Eric
2019
2 p. 117-131
artikel
35 Examining the relationship between digital finance and financial inclusion: Evidence from MENA countries Al-Smadi, Mohammad O.

2 p. 464-472
artikel
36 Exploring the Gaussian investor sentiment process Coşkun, Serdar Semih

2 p. 412-425
artikel
37 Exploring the impact of financial literacy on predicting credit default among farmers: An analysis using a hybrid machine learning model Lu, Zhiqiang

2 p. 352-362
artikel
38 Factors affecting leverage during a financial crisis: Evidence from Turkey Jermias, Johnny
2019
2 p. 171-185
artikel
39 Factors affecting the credibility of islamic banking Sharī’ah approvals: Perception-based empirical study Abubakar Siddique, Muhammad

2 p. 426-442
artikel
40 Female CEOs and corporate investment efficiency: Evidence from China Ullah, Irfan

2 p. 161-174
artikel
41 Finance-growth nexus: Insights from an application of threshold regression model to Malaysia's dual financial system Alaabed, Alaa
2016
2 p. 63-71
9 p.
artikel
42 Financial reforms, financial openness, and corporate debt maturity: International evidence Ağca, Şenay
2015
2 p. 61-75
15 p.
artikel
43 Financial stability of Asian Nations: Governance quality and financial inclusion Malik, Arsalan Haneef

2 p. 377-387
artikel
44 Firm location, investor recognition, and the liquidity of Chinese publicly listed SMEs Lim, Kian-Ping

2 p. 334-349
artikel
45 From Brown to green: Exploring asymmetric nexus between green finance and carbon footprint in BRICS+6 alliance Gong, Zheng

2 p. 363-375
artikel
46 Hedging Dow Jones Islamic and conventional emerging market indices with CDS, oil, gold and the VSTOXX: A comparison between DCC, ADCC and GO-GARCH models Hachicha, Nejib

2 p. 209-225
artikel
47 Heuristics and stock buying decision: Evidence from Malaysian and Pakistani stock markets Khan, Habib Hussain
2017
2 p. 97-110
14 p.
artikel
48 How director remuneration impacts firm performance: An empirical analysis of executive director remuneration in Pakistan Aslam, Ejaz
2019
2 p. 186-196
artikel
49 How information technologies shape investor sentiment: A web-based investor sentiment index García Petit, Juan José
2019
2 p. 95-105
artikel
50 Impact of financial development on sentiment-return relationship: Insight from Asia-Pacific markets 1 1 This research did not receive any specific grant from funding agencies in the public, commercial, or not-for-profit sectors. Vuong, Ngoc Bao

2 p. 95-107
artikel
51 Information shocks and the cross section of expected returns Savaser, Tanseli

2 p. 378-401
artikel
52 Institutional environment and determinants of adjustment speed to the target capital structure in the MENA region Touil, Marwa

2 p. 121-143
artikel
53 Institutional shareholding and the dividend payout policy of Islamic mutual funds: Evidence from international Islamic funds industry Naveed, Farrukh

2 p. 125-132
artikel
54 International financial integration: Too much? Taşdemir, Fatma

2 p. 402-411
artikel
55 Investigating the volatility spillover effect between derivative markets and spot markets via the wavelets: The case of Borsa İstanbul Gürbüz, Süleyman

2 p. 321-331
artikel
56 Investment strategies with rebalancing: How could they serve Sukuk secondary market? Ahroum, Rida
2018
2 p. 91-100
artikel
57 Investor attention and stock returns: Evidence from Borsa Istanbul Düz Tan, Selin
2019
2 p. 106-116
artikel
58 Investors' personal characteristics and trading decisions under distressed market conditions Reiter-Gavish, Liron

2 p. 240-247
artikel
59 Islamic stock markets and potential diversification benefits Abbes, Mouna Boujelbène
2015
2 p. 93-105
13 p.
artikel
60 Is short-term debt a substitute for or complementary to good governance? Anginer, Deniz

2 p. 197-208
artikel
61 Is the free cash flow hypothesis valid in Turkey? Kadioglu, Eyup
2017
2 p. 111-116
6 p.
artikel
62 Justice and finance: Does judicial efficiency contribute to financial system efficiency? Khan, Muhammad Atif

2 p. 248-255
artikel
63 Managerial overconfidence and corporate information disclosure Hu, Yang

2 p. 263-279
artikel
64 Measuring relative development level of stock markets: Capacity and effort of countries Bayraktar, Nihal
2014
2 p. 74-95
22 p.
artikel
65 Mind the gap: Turkish case study of policy change in private pension schemes Ertuğrul, Hasan Murat
2018
2 p. 140-149
artikel
66 Monetary shifts and co-movements in spending, growth, and inflation: Evidence from developing and advanced countries Kandil, Magda
2015
2 p. 76-92
17 p.
artikel
67 Oil prices and the green bond market: Evidence from time-varying and quantile-varying aspects Wang, Kai-Hua

2 p. 516-526
artikel
68 On the effects of monetary policy shocks in developing countries Kandil, Magda
2014
2 p. 104-118
15 p.
artikel
69 Political uncertainty of impeachment upon corporate investment decisions Jucá, Michele Nascimento

2 p. 149-160
artikel
70 Product market competition and financial analysts' forecast quality: The mediating role of financial reporting quality Iqbal, Amjad

2 p. 248-256
artikel
71 Profit sharing between managers and investors: An experimental investigation Ozturkkal, Belma
2015
2 p. 106-114
9 p.
artikel
72 Regime-dependent relation between Islamic and conventional financial markets Cevik, Emrah Ismail
2018
2 p. 114-121
artikel
73 Relative power and efficiency as a main determinant of banks' profitability in Latin America Guillén, Jorge
2014
2 p. 119-125
7 p.
artikel
74 Revisiting the dynamic relationship between exchange rates and stock prices in BRICS countries: A wavelet analysis Mohamed Dahir, Ahmed
2018
2 p. 101-113
artikel
75 Risk management and capital adequacy in Turkish participation and conventional banks: A comparative stress testing analysis Kabir Hassan, M.
2016
2 p. 72-81
10 p.
artikel
76 Risk, return and portfolio optimization for various industries in the ASEAN region Vo, Duc Hong
2019
2 p. 132-138
artikel
77 Risk transmissions between sectoral Islamic and conventional stock markets during COVID-19 pandemic: What matters more between actual COVID-19 occurrence and speculative and sentiment factors? Adekoya, Oluwasegun B.

2 p. 363-376
artikel
78 Russian Currency's external shocks and domestic policy effectiveness amid geopolitical tensions Gainetdinova, Anna

2 p. 406-423
artikel
79 Safe-haven and hedging roles of precious metals for BRICS and Turkey Gençyürek, A. Galip

2 p. 297-321
artikel
80 Sovereign credit risk and economic risk in Turkey: Empirical evidence from a wavelet coherence approach Kirikkaleli, Dervis

2 p. 144-152
artikel
81 Speed of adjustment: Evidence from Borsa Istanbul Arioglu, Emrah
2014
2 p. 126-131
6 p.
artikel
82 Sweetness by the pound: Sugar and currency correlations in pre-Brexit UK prices Cicchetti, Chase Christopher

2 p. 400-408
artikel
83 Term premium in Turkish lira interest rates: The role of foreign investors’ share Aydın, Halil İbrahim

2 p. 314-323
artikel
84 Testing for causality among globalization, institution and financial development: Further evidence from three economic blocs Muye, Ibrahim Muhammad
2017
2 p. 117-132
16 p.
artikel
85 Testing mispricing-augmented factor models in an emerging market: A quest for parsimony Ali, Fahad

2 p. 272-284
artikel
86 The accrual anomaly: Evidence from Borsa Istanbul Ozkan, Nasif
2015
2 p. 115-125
11 p.
artikel
87 The effectiveness of monetary policy transmission under capital inflows: Evidence from Asia Jain-Chandra, Sonali
2014
2 p. 96-103
8 p.
artikel
88 The effect of private pension scheme on savings: A case study for Turkey Ertuğrul, Hasan Murat

2 p. 172-177
artikel
89 The effects of short selling on price discovery: A study for Borsa Istanbul Şahin, Baki Cem

2 p. 133-138
artikel
90 The GCC's regional roller coaster: Do regional factors affect stock market dynamics in the GCC Region? Evidence from non-parametric quantile regression Essayem, Amal

2 p. 473-494
artikel
91 The impact of investor sentiment on returns, cash flows, discount rates, and performance Muhammad, Ateeq ur Rehman

2 p. 352-362
artikel
92 The impact of technology export regulations on corporate R&D investments Li, Haoyang

2 p. 322-333
artikel
93 The impact of universal banking on macroeconomic dynamics: A nonlinear local projection approach Calmès, Christian

2 p. 153-171
artikel
94 The impact of women's empowerment and access to finance on greenhouse gas emissions: A framework for securing environmental tranquility Li, Juan

2 p. 341-351
artikel
95 The influence of country governance on the capital structure and investment financing decisions of firms: An international investigation Çam, İlhan

2 p. 257-271
artikel
96 The link between Chinese belt and road initiative and foreign direct investment inflows in Southern Africa Sabola, Gift Andrew

2 p. 256-262
artikel
97 The momentum effect in the Tunisian stock market: Risk hypothesis vs. underreaction hypothesis Boussaidi, Ramzi

2 p. 178-195
artikel
98 The nexus between asymmetric financial inclusion and economic growth: Evidence from the top 10 financially inclusive economies Chen, Zhong

2 p. 368-377
artikel
99 The nexus between oil price and islamic stock markets in Africa: A wavelet and Multivariate-GARCH approach Abdulkarim, Fatima M.

2 p. 108-120
artikel
100 The relationship between shari’ah convergence and market-to-book value: A case study of firms in Islamic countries Parlak, Deniz

2 p. 398-405
artikel
101 The role of financial and trade globalization in enhancing environmental sustainability: Evaluating the effectiveness of carbon taxation and renewable energy in EU member countries Nadiri, Ayhan

2 p. 235-247
artikel
102 Turkish IPOs in a changing regulatory and economic environment Tanyeri, Başak

2 p. 332-340
artikel
103 Unit root modeling for trending stock market series Salisu, Afees A.
2016
2 p. 82-91
10 p.
artikel
104 Venture capital healthcare investments and health care sector growth: A panel data analysis of Europe Frimpong, Fauna Atta

2 p. 388-399
artikel
                             104 gevonden resultaten
 
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