Borsa Istanbul Review
2013 - 2019
From Research and Business Development Department, Borsa Istanbul Contact information at EDIRC. Bibliographic data for series maintained by Ahmet Palu (). Access Statistics for this journal.
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Volume 16, issue 4, 2016
- Limit order placement by high-frequency traders pp. 185-209

- Avanidhar Subrahmanyam and Hui Zheng
- Testing for martingale difference hypothesis with structural breaks: Evidence from AsiaePacific foreign exchange markets pp. 210-218

- Afees Salisu, Tirimisiyu Oloko and Oluwatomisin Oyewole
- The impact of crude oil price on Islamic stock indices of South East Asian countries: Evidence from MGARCH-DCC and wavelet approaches pp. 219-232

- Ahmad Monir Abdullah, Buerhan Saiti and Abul Masih
- Algorithmic and high-frequency trading in Borsa Istanbul pp. 233-248

- Oguz Ersan and Cumhur Ekinci
- Islamic electronic trading platform on organized exchange pp. 249-255

- Ahmet Suayb Gundogdu
Volume 16, issue 3, 2016
- Business cycle volatility, growth and financial openness: Does Islamic finance make any difference? pp. 121-145

- Mustapha Djennas
- Performance persistence in institutional investment management: The case of Chinese equity funds pp. 146-156

- Zia-ur-Rehman Rao, Amjad Iqbal and Muhammad Zubair Tauni
- Modeling dependence structure between stock market volatility and sukuk yields: A nonlinear study in the case of Saudi Arabia pp. 157-166

- Nader Naifar
- What are the biggest obstacles to growth of SMEs in developing countries? – An empirical evidence from an enterprise survey pp. 167-176

- Yao Wang
- Tax optimization and the firm's value: Evidence from the Tunisian context pp. 177-184

- Soufiene Assidi, Khaoula Aliani and Mohamed Ali Omri
Volume 16, issue 2, 2016
- Finance-growth nexus: Insights from an application of threshold regression model to Malaysia's dual financial system pp. 63-71

- Alaa Alaabed and Abul Masih
- Risk management and capital adequacy in Turkish participation and conventional banks: A comparative stress testing analysis pp. 72-81

- M. Kabir Hassan, Omer Unsal and Hikmet Emre Tamer
- Unit root modeling for trending stock market series pp. 82-91

- Afees Salisu, Umar Ndako, Tirimisiyu Oloko and Lateef Akanni
- Analyzing performance determinants: Conventional versus Islamic Banks in Pakistan pp. 92-107

- Abdul Rashid and Sana Jabeen
- Corporate derivatives use and firm value: Evidence from Turkey pp. 108-120

- Yusuf Ayturk, Ali Osman Gurbuz and Serhat Yanik
Volume 16, issue 1, 2016
- How does crisis affect efficiency? An empirical study of East Asian markets pp. 1-8

- Syed Aun R. Rizvi and Shaista Arshad
- Does monetary integration lead to an increase in FDI flows? An empirical investigation from the West African Monetary Zone(WAMZ) pp. 9-20

- Tamsir Cham
- Is political risk still an issue for Turkish stock market? pp. 21-31

- Samet Gunay
- Does investment deposit return in Islamic banks reflect PLS principle? pp. 32-42

- Hichem Hamza
- Behavioural finance perspectives on Malaysian stock market efficiency pp. 43-61

- Jasman Tuyon and Zamri Ahmada
Volume 15, issue 4, 2015
- On the benefits of nominal appreciations: Contrasting evidence across developed and developing countries pp. 223-236

- Magda Kandil
- A synthesis of theoretical and empirical research on sukuk pp. 237-248

- Muhamed Zulkhibri
- On capital flows and macroeconomic performance: Evidence before and after the financial crisis in Turkey pp. 249-258

- Magda Kandil and Mohamed Trabelsi
- Market reaction to director independence at Borsa Istanbul pp. 259-271

- Emrah Arioglu
- The impact of efficiency on discretionary loans/finance loss provision: A comparative study of Islamic and conventional banks pp. 272-282

- Fekri Shawtari, Buerhan Saiti, Shaikh Razak and Mohamed Ariff
- The impact of corruption on the soundness of Islamic banks pp. 283-295

- Khemaies Bougatef
Volume 15, issue 3, 2015
- Institutions and the financeegrowth nexus: Empirical evidence from MENA countries pp. 137-160

- Kaouthar Gazdar and Mondher Cherif
- Financial integration in emerging market economies: Effects on volatility transmission and contagion pp. 161-179

- Aymen Ben Rejeb and Adel Boughrara
- Deficits and inflation; Are monetary and financial institutions worthy to consider or not? pp. 180-191

- Tahira Ishaq and Hasan Mohsin
- Capital adequacy implications on Islamic and non-Islamic bank's behavior: Does market power matter? pp. 192-204

- Salma Louati, Ilhem Gargouri Abida and Younes Boujelbene
- War-related risks and the Ýstanbul bourse on the eve of the First World War pp. 205-212

- Avni Hanedar, Erdost Torun and Elmas Yaldız Hanedar
- Closing price manipulation in Borsa Istanbul and the impact of call auction sessions pp. 213-221

- Eyup Kadioðluu, Guray Kucukkocaoglu and Saim Kilic
Volume 15, issue 2, 2015
- Financial reforms, financial openness, and corporate debt maturity: International evidence pp. 61-75

- Senay Agca, Gianni De Nicolò and Enrica Detragiache
- Monetary shifts and co-movements in spending, growth, and inflation: Evidence from developing and advanced countries pp. 76-92

- Magda Kandil
- Islamic stock markets and potential diversification benefits pp. 93-105

- Mouna Boujelbene Abbes and Yousra Trichilli
- Profit sharing between managers and investors: An experimental investigation pp. 106-114

- Ayse Ozturkkal
- The accrual anomaly: Evidence from Borsa Istanbul pp. 115-125

- Nasif Ozkan and Mustafa Mesut Kayali
- Busyness and advising at Borsa Istanbul firms pp. 126-136

- Emrah Arioglu and Pinar Arioglu Kaya
Volume 15, issue 1, 2015
- Tail risk analysis of the S&P/OIC COMCEC 50 index pp. 1-16

- Mahmoud Bekri and Young Shin (Aaron) Kim
- Empirical dynamics of emerging financial markets during the global mortgage crisis pp. 17-36

- Rahmi Erdem Aktug
- Does U.S. macroeconomic news make emerging financial markets riskier pp. 37-43

- Esin Cakan, Nadia Doytch and Kamal Upadhyaya
- The implied volatility index: Is ‘investor fear gauge’ or ‘forward-looking’? pp. 44-52

- Imlak Shaikh and Puja Padhi
- The impact of monetary policy on bank lending rate in South Africa pp. 53-59

- B.T. Matemilola, A.N. Bany-Ariffin and Fatima Etudaiye Muhtar
Volume 14, issue 4, 2014
- Risk sharing and risk shifting: An historical perspective pp. 191-195

- Murat Cizakca
- The diversification benefits from Islamic investment during the financial turmoil: The case for the US-based equity investors pp. 196-211

- Buerhan Saiti, Obiyathulla Bacha and Abul Masih
- What drives the development of the MENA financial sector? pp. 212-223

- Sami Ben Naceur, Mondher Cherif and Magda Kandil
- Tripartite analysis across business cycles in Turkey: A multi-timescale inquiry of efficiency, volatility and integration pp. 224-235

- Shaista Arshad, Syed Aun R. Rizvi and Mansor Ibrahim
- The impacts of investor sentiment on different economic sectors: Evidence from Istanbul Stock Exchange pp. 236-241

- Utku Uygur and Oktay Tas
Volume 14, issue 3, 2014
- The role of Foreign Direct Investment (FDI) in a dualistic growth framework: A smooth coefficient semi-parametric approach pp. 133-144

- Aurangzeb(Zeb) Aurangzeb and Thanasis Stengos
- Risk, capital and financial crisis: Evidence for GCC banks pp. 145-157

- Saibal Ghosh
- Law and Islamic finance: How legal origins affect Islamic finance development? pp. 158-166

- Rihab Grassa and Kaouthar Gazdar
- Event studies in Turkey pp. 167-188

- Ulkem Basdas and Adil Oran
Volume 14, issue 2, 2014
- Behavioral finance: Finance with normal people pp. 65-73

- Meir Statman
- Measuring relative development level of stock markets: Capacity and effort of countries pp. 74-95

- Nihal Bayraktar
- The effectiveness of monetary policy transmission under capital inflows: Evidence from Asia pp. 96-103

- Sonali Jain-Chandra and Filiz Unsal
- On the effects of monetary policy shocks in developing countries pp. 104-118

- Magda Kandil
- Relative power and efficiency as a main determinant of banks’ profitability in Latin America pp. 119-125

- Jorge Guille´n, Erick W. Rengifo and Emre Ozsoz
- Speed of adjustment: Evidence from Borsa Istanbul pp. 126-131

- Emrah Arioglu and Koray Tuan
Volume 14, issue 1, 2014
- Culture’s influences: An investigation of inter-country differences in capital structure pp. 1-9

- Ciarán Mac an Bhaird and Brian Lucey
- Price jumps on European stock markets pp. 10-22

- Jan Hanousek, Evžen Kočenda and Jan Novotny
- What determines return risks for bank equities in Turkey? pp. 23-31

- Emre Ozsoz, Erick W. Rengifo and Mustapha A. Akinkunmi
- Interdependence between Islamic capital market and money market: Evidence from Indonesia pp. 32-47

- Imam Wahyudi and Gandhi Anwar Sani
- Stability of the “returns-growth” relationship in G7: The dynamic conditional lagged correlation approach pp. 48-56

- Štefan Lyócsa and Eduard Baumohl
- A brief history of mathematics in finance pp. 57-63

- Erdinc Akyildirim and Halil Mete Soner
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