All Stories

  1. Examining the Impact of Financial Literacy, Financial Self-Control, and Demographic Determinants on Individual Financial Performance and Behavior: An Insight from the Lebanese Crisis Period
  2. The Dynamic Impact of Renewable Energy and Economic Growth on CO2 Emissions in China: Do Remittances and Technological Innovations Matter?
  3. Does Economic Policy Uncertainty Impact Firms’ Capital Structure Policy? Evidence from Western European Economies
  4. Time–frequency return co-movement among asset classes around the COVID-19 outbreak: portfolio implications
  5. Examining the Impacts of Environmental Characteristics on Shariah-Based Bank’s Capital Holdings: Role of Country Risk and Governance Quality
  6. World pandemic uncertainty and German stock market: evidence from Markov regime-switching and Fourier based approaches
  7. Towards Environmental Sustainability in China: Role of Globalization and Hydroelectricity Consumption
  8. Driving green bond market through energy prices, gold prices and green energy stocks: evidence from a non-linear approach
  9. A global perspective of the role of domestic economic, financial and political risks in inbound tourism
  10. Examining the Sectoral Credit-Growth Nexus in Australia: A Time and Frequency Dynamic Analysis
  11. Time and frequency co‐movement between economic policy uncertainty and inflation: Evidence from Japan
  12. Does investor protection affect corporate dividend policy? Evidence from Asian markets
  13. The Impacts of Country Risk, Global Economic Policy Uncertainty, and Macroeconomic Factors on the Turkish Tourism Industry
  14. The impact of external governance and regulatory settings on the profitability of Islamic banks: Evidence from Arab markets
  15. Dependency between sovereign credit ratings and economic risk: Insight from Balkan countries
  16. The Impact of External Governance and Regulatory Settings on the Profitability of Islamic Banks: Evidence from Arab Markets
  17. The effects of institutional settings and risks on bank dividend policy in an emerging market: Evidence from Tobit model
  18. The (Un)sticky role of exchange and inflation rate in tourism development: insight from the low and high political risk destinations
  19. Time-frequency Co-movements between Bank Credit Supply and Economic Growth in an Emerging Market: Does the Bank Ownership Structure Matter
  20. Time-frequency dependencies of financial and economic risks in South American countries
  21. Domestic political risk, global economic policy uncertainty, and banks’ profitability: evidence from Ukrainian banks
  22. New Trends in Management Studies
  23. Testing the volatility spillover between crude oil price and the U.S. stock market returns
  24. Global competitiveness and capital flows: does stage of economic development and risk rating matter?*
  25. The real estate industry in Turkey: a time series analysis
  26. Nexus between Institutional Quality and Capital Inflows at Different Stages of Economic Development
  27. Investor protection and dividend policy: The case of Islamic and conventional banks