Borsa Istanbul Review

Borsa Istanbul Review

伊斯坦布尔证券交易所评论

  • 2区 中科院分区
  • Q1 JCR分区

高引用文章

文章名称 引用次数
Impact of digital finance on financial inclusion and stability 30
Determinants of banking sector development: Evidence from Sub-Saharan African countries 13
Global financial crisis and co-movements between oil prices and sector stock markets in Saudi Arabia: A VaR based wavelet 10
How director remuneration impacts firm performance: An empirical analysis of executive director remuneration in Pakistan 10
The effect of Islamic banks on GDP growth: Some evidence from selected MENA countries 9
Revisiting the dynamic relationship between exchange rates and stock prices in BRICS countries: A wavelet analysis 8
Does investing in intellectual capital improve productivity? Panel evidence from commercial banks in India 7
Financial integration between sukuk and bond indices of emerging markets: Insights from wavelet coherence and multivariate-GARCH analysis 6
A six-factor asset pricing model 6
Oil price volatility, Islamic financial development and economic growth in Gulf Cooperation Council (GCC) countries 6
Competition, diversification, and bank margins: Evidence from Indonesian Islamic rural banks 6
Google search and stock returns in emerging markets 6
Transparency and bank risk-taking in GCC Islamic banking 5
Decoupling hypothesis of Islamic stocks: Evidence from copula CoVaR approach 5
Does central banking promote financial development? 4
Capital, funding liquidity, and bank lending in emerging economies: An application of the LSDVC approach 4
Turkish currency crisis - Spillover effects on European banks 4
Big data in finance: Evidence and challenges 3
Adequacy of audit committees: A study of deposit banks in Turkey 3
Regime-dependent relation between Islamic and conventional financial markets 3
Factors affecting leverage during a financial crisis: Evidence from Turkey 3
Examining the dynamics of illiquidity risks within the phases of the business cycle 3
Testing for spillovers in naira exchange rates: The role of electioneering & global financial crisis 3
Dynamic model for hedging of the European stock sector with credit default swaps and EURO STOXX 50 volatility index futures 3
Demystifying small and medium enterprises' (SMEs) performance in emerging and developing economies 3
Foreign penetration, competition, and credit risk in banking 3
An analysis of constructing global financial inclusion indices 2
Dynamics of the impact of currency fluctuations on stock markets in India: Assessing the pricing of exchange rate risks 2
Ramifications of varying banking regulations on performance of Islamic Banks 2
Macroprudential policy and tools in a dual banking system: Insights from the literature 2
Factoring as a determinant of capital structure for large firms: Theoretical and empirical analysis 2
How information technologies shape investor sentiment: A web-based investor sentiment index 2
Are ETFs good vehicles for diversification? New evidence for critical investment periods 2
An analysis through credit default swap, asset swap and zero-volatility spreads: Coup attempt and Bist 100 volatility 2
A survey on Islamic Finance and accounting standards 2
The contracts, structures and pricing mechanisms of sukuk: A critical assessment 2
Does credit rating revision affect the price of a special class of common stock? 2
Does competition make banks riskier in dual banking system? 1
Does the interest tax shield align with maqasid al Shariah in finance? 1
Developing financial disclosure quality in sukuk and bond market: Evidence from Indonesia, Malaysia, and Australia 1
Doing well while doing good: The case of Islamic and sustainability equity investing 1
Testing postmodern portfolio theory based on global and local single factor market model: Borsa Istanbul case 1
Impact of international and local conditions on sovereign bond spreads: International evidence 1
Dissecting anomalies and dynamic human capital: The global evidence 1
Liquidity adjusted capital asset pricing model in an emerging market: Liquidity risk in Borsa Istanbul 1
Investor attention and stock returns: Evidence from Borsa Istanbul 1
Risk, return and portfolio optimization for various industries in the ASEAN region 1
Mind the gap: Turkish case study of policy change in private pension schemes 1
The role of active management and asset allocation policy on government and corporate bond fund returns 1
Does reputation matter in the dividend smoothing policy of emerging market firms? Empirical evidence from India 0