Yayıncı "Elsevier Science BV" İşletme Bölümü / Department of Management için listeleme
Toplam kayıt 4, listelenen: 1-4
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An empirical examination of the generalized Fisher effect using cross-sectional correlation robust tests for panel cointegration
(Elsevier Science BV, 2015-03)This study examines the generalized Fisher hypothesis as applied to common stocks by using the recently proposed second generation panel cointegration tests. Unlike their predecessors, these new tests assume the existence ... -
Flight to quality and the predictability of reversals: The role of market states and global factors
(Elsevier Science BV, 2017-12)This paper examines the time-series predictability of reversals in an emerging stock market, Borsa Istanbul. We show that short-term reversals, thus the payoffs to the contrarian strategy, are predictable with the market ... -
Stock price reaction for scoring on corporate governance
(Elsevier Science BV, 2014-06-19)There is a widely heralded need for improved corporate governance practices in order to stave off potential turbulences in financial markets. Corporate governance index enables investors to monitor the compliance level of ... -
Whether development indices affect economic growth: a cross-country analysis
(Elsevier Science BV, 2016-11-23)This study aims to examine the relationship between economic growth and highly featured development indices using a cross sectional data of 12 countries from both developed and developing world between the years 2000 and ...