All Stories

  1. When oil falters, gas and coal rise: a volatility‑spillover tale for energy stocks
  2. Cash holdings in the US healthcare industry: Do different types of uncertainty matter?
  3. Spillovers, correlations and hedging among green bonds, clean energy stocks and fossil fuels: The effects of four turmoils
  4. Financial development and environmental quality nexus: Testing the double materiality hypothesis
  5. Inter-Market Sentiment Analysis Using Markov Switching Bayesian VAR Analysis
  6. The effects of financial and operational hedging on company value: The case of Malaysian multinationals
  7. The vulnerability of tourism firms’ stocks to the terrorist incidents
  8. DIVIDENDS, MAJORITY CONTROL AND EXPROPRIATION
  9. cash management in travel and leisure sector of UK
  10. Dividend payouts of travel and leisure companies in Western Europe
  11. Oil production cost, financial development, and economic growth in Russia
  12. A Synergistic Forecasting Model for High-Frequency Foreign Exchange Data
  13. Nexus between Institutional Quality and Capital Inflows at Different Stages of Economic Development
  14. Oil price risk exposure: A comparison of financial and non-financial subsectors
  15. Investor protection and dividend policy: The case of Islamic and conventional banks
  16. Foreign Investors
  17. Stock Dividends
  18. Rights Offerings
  19. Dividend Stability
  20. Instability in the Dividend Policy of the Istanbul Stock Exchange (ISE) Corporations: Evidence from an Emerging Market
  21. Shareholder Wealth Effects of Rights Offerings in an Emerging European Market: The Istanbul Stock Exchange