Content
October 2024, Volume 8, Issue 2
- 212-241 Audit report lag and the cost of equity capital
by Md. Borhan Uddin Bhuiyan & Yimei Man & David H. Lont - 242-254 Interlinkages between public expenditures, non-tax government revenues and corruption in the transition economies
by Alper Ozun & Hasan Murat Ertuğrul & Ergul Haliscelik - 255-274 Corporate governance and capital market development in the GCC: a comparative literature review
by Mohamed A. Ateia Elhabib
November 2024, Volume 8, Issue 2
September 2024, Volume 8, Issue 2
- 173-194 Market resilience in turbulent times: a proactive approach to predicting stock market responses during geopolitical tensions
by Srivatsa Maddodi & Srinivasa Rao Kunte - 195-211 Term structure of interest rate and macro economy: an empirical study on selected emerging countries sovereign bond
by Doddy Ariefianto & Citra Amanda & Zaafri Ananto Husodo
April 2024, Volume 8, Issue 1
- 126-168 Nomination and remuneration committee: a review of literature
by Ferdy Putra & Doddy Setiawan
February 2024, Volume 8, Issue 1
- 43-66 Short-sale constraints and stock returns: a systematic review
by Mostafa Saidur Rahim Khan
May 2024, Volume 8, Issue 1
- 95-125 The rise of passive investing: a systematic literature review applying PRISMA framework
by Priya Malhotra
December 2023, Volume 8, Issue 1
- 67-94 Novel comparative methodology of hybrid support vector machine with meta-heuristic algorithms to develop an integrated candlestick technical analysis model
by Armin Mahmoodi & Leila Hashemi & Amin Mahmoodi & Benyamin Mahmoodi & Milad Jasemi
November 2023, Volume 8, Issue 1
- 6-24 Emerging market analysis of passive and active investing under bear and bull market conditions
by Thabo J. Gopane & Noel T. Moyo & Lesego F. Setaka - 25-42 Geopolitical risk, economic policy uncertainty, financial stress and stock returns nexus: evidence from African stock markets
by David Korsah & Lord Mensah
November 2023, Volume 7, Issue 2
- 125-139 The impact of exchange rates on stock market performance of the Emerging 7
by Doaa El-Diftar - 140-155 Corporate climate change disclosures and capital structure strategies: evidence from Türkiye
by Gultakin Gahramanova & Özlem Kutlu Furtuna
October 2023, Volume 7, Issue 2
- 111-124 Alternatives to the efficient market hypothesis: an overview
by Kingstone Nyakurukwa & Yudhvir Seetharam
June 2023, Volume 7, Issue 1
- 53-71 The effect of financial leverage on financial performance: evidence from non-financial institutions listed on the Tokyo stock market
by Richard Arhinful & Mehrshad Radmehr
February 2023, Volume 7, Issue 1
- 38-52 Does the Centrual Economic Work Conference (CEWC) affect the stock market?
by Xian Wang & Yijian Zhao & Qingyi Wang & Huang Yixing & Gabedava George
May 2023, Volume 7, Issue 1
- 5-21 Risk translation: how cryptocurrency impacts company risk, beta and returns
by Jack Field & A. Can Inci - 91-107 Gender diversity and firm performances suffering from financial distress: evidence from Indonesia
by Ahmad Abbas & Andi Ayu Frihatni
April 2023, Volume 7, Issue 1
- 22-37 Value relevance of financial risk disclosures
by Arlindo Menezes da Costa Neto & Atelmo Ferreira de Oliveira & Aline Moura Costa da Silva & Alexandro Barbosa - 72-90 Weak-form market efficiency and corruption: a cross-country comparative analysis
by Özgür İcan & Taha Buğra Çelik
November 2022, Volume 6, Issue 3
- 242-286 Financial sector and outbreak of the economic crisis in 2008: IFRS versus US GAAP
by Sotirios Rouvolis - 287-303 Contribution of business angel investments: evidence from Estonia
by Tetsuya Kirihata
October 2022, Volume 6, Issue 3
- 225-241 Strategic approach to analyze the effect of Covid-19 on the stock market volatility and uncertainty: a first and second wave perspective
by Emon Kalyan Chowdhury - 304-319 Socio-political factors underlying the adoption of green bond financing of infrastructure projects: the case of Ghana
by Prosper Babon-Ayeng & Eric Oduro-Ofori & De-Graft Owusu-Manu & David James Edwards & Ernest Kissi & Augustine Senanu Komla Kukah
February 2022, Volume 6, Issue 2
- 185-202 Stock market development and agricultural growth of emerging economies in Africa
by Chi Aloysius Ngong & Kesuh Jude Thaddeus & Lionel Tembi Asah & Godwin Imo Ibe & Josaphat Uchechukwu Joe Onwumere
May 2022, Volume 6, Issue 2
June 2022, Volume 6, Issue 2
- 166-184 Co-movement and causal relationships between conventional and Islamic stock market returns under regime-switching framework
by Fatma Mathlouthi & Slah Bahloul
August 2022, Volume 6, Issue 2
- 148-165 Corporate governance and capital structure in Latin America: empirical evidence
by Dermeval Martins Borges Júnior
September 2022, Volume 6, Issue 2
- 203-218 Determinants of becoming an M&A acquirer or target: evidence from the US insurance industry
by Gökhan Özer & Nurullah Okur & İlhan Çam
January 2022, Volume 6, Issue 1
February 2022, Volume 6, Issue 1
- 6-32 Technical trading rules' profitability and dynamic risk premiums of cryptocurrency exchange rates
by Khumbulani L. Masuku & Thabo J. Gopane
December 2021, Volume 6, Issue 1
- 71-89 Stock market development: a reflection of governance regulatory framework in Nigeria
by Fisayo Fagbemi & Opeoluwa Adeniyi Adeosun & Kehinde Mary Bello - 106-124 Investigating the relationship between bank performance and accounting standards: evidence from M&As in European banking
by Ali İhsan Akgün
October 2021, Volume 6, Issue 1
- 33-47 Large US bank takeovers in 2008: performance and implications
by Guoxiang Song
November 2021, Volume 6, Issue 1
- 48-70 Integration in banking efficiency: a comparative analysis of the European Union, the Eurozone, and the United States banks
by Dimitra Loukia Kolia & Simeon Papadopoulos
February 2021, Volume 5, Issue 1
- 96-107 Leverage and firm performance: new evidence on the role of economic sentiment using accounting information
by Petros Kalantonis & Christos Kallandranis & Marios Sotiropoulos
March 2021, Volume 5, Issue 1
- 28-48 Dynamic risk-based optimization on cryptocurrencies
by Bayu Adi Nugroho - 49-68 What does corporate social advocacy signal? Evidence from boycott participation decisions
by Pyemo N. Afego & Imhotep P. Alagidede
July 2021, Volume 5, Issue 1
- 5-27 Equity crowdfunding and financial literacy of individual investors in Japan
by Masatoshi Fujii & Chie Hosomi & Yoshiaki Nose - 69-95 Cracking the fault line in stock markets: the case of bonus issue announcements
by Murat Isiker & Oktay Tas
November 2020, Volume 4, Issue 2
- 113-127 Profitability and optimal debt ratio of the automobiles and parts sector in the Euro area
by Charalampos Basdekis & Apostolos Christopoulos & Ioannis Katsampoxakis & Alexandros Lyras - 129-143 Is there any effect of ESG scores on portfolio performance? Evidence from Europe and Turkey
by Emre Zehir & Aslı Aybars - 145-166 Predictability in securities price formation: differences between developed and emerging markets
by Silvio John Camilleri & Semiramis Vassallo & Ye Bai - 167-191 Determinants of capital structure for firms in an Islamic equity index: comparing developed and developing countries
by Evrim Hilal Kahya & Hüseyin Yiğit Ersen & Cumhur Ekinci & Oktay Taş & Koray D. Simsek - 193-208 Efficiency and productivity analysis for intermediary institutions: Turkish capital markets case
by Guler Aras & Yasemin Karaman & Evrim Hacioglu Kazak
July 2020, Volume 4, Issue 1
- 7-24 Basel IV implementation: a review of the case of the European Union
by Mete Feridun & Alper Özün
August 2020, Volume 4, Issue 1
- 25-45 Dividend policy and market value of banks in MENA emerging markets: residual income approach
by Akram Ramadan Budagaga - 47-59 Corporate citizenship, stakeholder management and Sustainable Development Goals (SDGs) in financial institutions and capital markets
by Jacob Dahl Rendtorff - 77-102 Fed and ECB: which is informative in determining the DCC between bitcoin and energy commodities?
by Abdelkader Derbali & Lamia Jamel & Monia Ben Ltaifa & Ahmed K. Elnagar & Ali Lamouchi
September 2020, Volume 4, Issue 1
- 61-76 The impact of political instability driven by the Tunisian revolution on the relationship between Google search queries index and financial market dynamics
by Yousra Trichilli & Mouna Boujelbène Abbes & Sabrine Zouari
November 2019, Volume 3, Issue 2
- 179-187 A longitudinal analysis for informativeness of earnings announcements in Borsa Istanbul
by Aykut Ahlatcioglu & Nesrin Okay
October 2019, Volume 3, Issue 2
- 98-112 Cryptocurrencies: applications and investment opportunities
by A. Can Inci & Rachel Lagasse - 113-136 Improving corporate governance with functional diversity on FTSE 350 boards: directors’ perspective
by Rita Goyal & Nada Kakabadse & Andrew Kakabadse - 157-178 Stock market liberalization: implications on cost of capital in emerging Islamic countries
by Bilal İlhan - 188-202 An investigation on impacts of structural changes in stocks’ past returns on financial analysts’ earnings forecasting rationality
by Zhixin Kang
September 2019, Volume 3, Issue 2
- 137-156 Do Fama–French common risk-factor portfolio investors herd on a daily basis? Implications for common risk-factor regressions
by Chamil W. Senarathne
June 2019, Volume 3, Issue 1
- 6-17 Sentiment versus mood: a conceptual and empirical investigation
by Albert Rapp - 18-33 Performance evaluation of the Turkish pension fund system
by Tolga Umut Kuzubas & Burak Saltoğlu & Ayberk Sert & Ayhan Yüksel - 34-46 Does D&O insurance matter for stock price crash risk? Evidence from an Asian emerging market
by Ming-Te Lee & Kai-Ting Nien - 47-67 The determinants of securities trading activity: evidence from four European equity markets
by Silvio John Camilleri & Francelle Galea - 68-81 Factors influencing SRI fund performance
by Halil Kiymaz - 82-90 On sparsity of eigenportfolios to reduce transaction cost
by Anqi Xiong & Ali N. Akansu
November 2018, Volume 2, Issue 2
- 121-135 An investigation of magnet effect via overnight returns: the Malaysian case
by Imtiaz Sifat & Azhar Mohamad & Zarinah Hamid - 148-161 Reforming accounting to support the shift towards a sustainable financial system
by Nihel Chabrak - 162-174 Long-term relationship of crude palm oil commodity pricing under structural break
by Monsurat Ayojimi Salami & Razali Haron
October 2018, Volume 2, Issue 2
- 106-120 Executing large-scale processes in a blockchain
by Mahalingam Ramkumar - 136-147 Migration policy uncertainty and stock market investor sentiment
by Beyza Mina Ordu-Akkaya
June 2018, Volume 2, Issue 1
- 21-36 Towards a well-functioning stock market in context
by Jim Haslam & Jiao Ji & Hanwen Sun - 37-49 Comprehensive evaluation of the financial performance for intermediary institutions based on multi-criteria decision making method
by Guler Aras & Nuray Tezcan & Ozlem Kutlu Furtuna - 82-94 Cointegration and causality in capital markets
by A. Can Inci
May 2018, Volume 2, Issue 1
- 50-69 Which aspects of CSR predict firm market value?
by Stevan Bajic & Burcin Yurtoglu
March 2018, Volume 2, Issue 1
April 2018, Volume 2, Issue 1
- 70-81 A dynamic model for housing price spillovers with an evidence from the US and the UK markets
by Alper Ozun & Hasan Murat Ertugrul & Yener Coskun
July 2018, Volume 2, Issue 1
- 6-8 Due diligence in capital markets
by Mervyn King
October 2017, Volume 1, Issue 1
- 5-9 Statistical studies of financial reports and stock markets
by Shyam Sunder - 10-35 Understanding sustainability for socially responsible investing and reporting
by Marianne Bradford & Julia B. Earp & Paul F. Williams - 36-57 Leveling the playing field for less-sophisticated non-professional investors
by Eileen Taylor & Jennifer Riley - 58-73 The performance of US-based emerging market mutual funds
by Halil Kiymaz & Koray D. Simsek - 74-88 Identifying the major reversals of the BIST-30 index by extreme outliers
by Ümit Erol - 89-100 The flash crash: a review
by Ali N. Akansu