760 results on '"Kutan, Ali M."'
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2. Do investment fund managers behave rationally in the light of central bank communication? Survey evidence from Poland
3. Fintech integration: Driving efficiency in banking institutions across the developing nations
4. Banking sector competition and firms’ financial constraints: Firm-Level evidence from developing economies
5. Monetary policy and investors' behaviour
6. Financial stress transmission between the U.S. and the Euro Area
7. Value creation and value destruction in investor-state dispute arbitration
8. How Effective are Stock Market Reforms in Emerging Market Economies? Evidence from a Panel VAR Model of the Indian Stock Market
9. How much do the central bank announcements matter on financial market? Application of the rule-based trading system approach
10. COVID-19 Pandemic and firm-level dynamics in the USA, UK, Europe, and Japan
11. Digital revolution, blockchain technologies and central bank digital currencies: Implications for Asian economic cooperation
12. Black swan events and COVID-19 outbreak: Sector level evidence from the US, UK, and European stock markets
13. Public debt and economic growth in developing countries: Nonlinearity and threshold analysis
14. Economic resiliency and recovery, lessons from the financial crisis for the COVID-19 pandemic: A regional perspective from Central and Eastern Europe
15. Testing the structure-conduct-performance relationship for ASEAN: Addressing the issues in the panel mediation
16. The real effects of capital inflows in emerging markets
17. Does celebrity spokesperson signal firm performance? Evidence from a drug scandal in China
18. The influence of oil prices on the banking sector in oil-exporting economies: Is there a psychological barrier?
19. Equity market and money supply spillovers and economic growth in BRICS economies: A global vector autoregressive approach
20. Equity fund flows, market returns, and market risk : evidence from China
21. Dynamics of mutual funds and stock markets in Asian developing economies
22. Volatility information trading in the index options market: An intraday analysis
23. Economic policy uncertainty in the US and China and their impact on the global markets
24. Dynamic transmission mechanisms in global crude oil prices: Estimation and implications
25. The impacts of overseas market shocks on the CDS-option basis
26. Can government intervention be both a curse and a blessing? Evidence from China's finance sector
27. Determinants and Economic Effects of New Firm Creation : Evidence from Polish Regions
28. Does the introduction of index futures stabilize stock markets? Further evidence from emerging markets
29. Is U.S. economic policy uncertainty priced in China's A-shares market? Evidence from market, industry, and individual stocks
30. The role of institutions in finance curse: Evidence from international data
31. Efficiency, growth and market power in the banking industry: New approach to efficient structure hypothesis
32. Does higher bank concentration reduce the level of competition in the banking industry? Further evidence from South East Asian economies
33. Why Do Financial Markets Move Together? An Investigation of Greek and Turkish Markets
34. Regional Effects of Terrorism on Tourism in Three Mediterranean Countries
35. Do Islamic banks fail more than conventional banks?
36. Mutual funds and stock market volatility: An empirical analysis of Asian emerging markets
37. Balkan and Mediterranean Candidates for European Union Membership: The Convergence of Their Monetary Policy with That of the European Central Bank
38. Detrending and the Money-Output Link: International Evidence
39. Testing the dependency theory on small island economies: The case of Cyprus
40. Financial integration in small Islands: The case of Cyprus
41. Do managers of sharia-compliant firms have distinctive financial styles?
42. The impact of unsuccessful pirate attacks on financial markets: Evidence in support of Leeson's reputation-building theory
43. Private credit spillovers and economic growth: Evidence from BRICS countries
44. Free cash flows and overinvestment: Further evidence from Chinese energy firms
45. Financial and real sector returns, IMF-related news, and the Asian crisis
46. Non-performing loans, moral hazard and regulation of the Chinese commercial banking system
47. Armed conflict and financial and economic risk: evidence from Colombia
48. Do Mergers and Acquisitions Create Wealth Effects? Evidence from Twenty Emerging Markets
49. Does exchange rate volatility hurt domestic consumption? Evidence from emerging economies
50. Investor response to public news, sentiment and institutional trading in emerging markets: A review
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