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Journal of Capital Markets Studies

2017 - 2024

Current editor(s): Prof Guler Aras

From Emerald Group Publishing Limited
Bibliographic data for series maintained by Emerald Support ().

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Volume 8, issue 2, 2024

Market resilience in turbulent times: a proactive approach to predicting stock market responses during geopolitical tensions pp. 173-194 Downloads
Srivatsa Maddodi and Srinivasa Rao Kunte
Term structure of interest rate and macro economy: an empirical study on selected emerging countries sovereign bond pp. 195-211 Downloads
Doddy Ariefianto, Citra Amanda and Zaafri Ananto Husodo
Audit report lag and the cost of equity capital pp. 212-241 Downloads
Md. Borhan Uddin Bhuiyan, Yimei Man and David H. Lont
Interlinkages between public expenditures, non-tax government revenues and corruption in the transition economies pp. 242-254 Downloads
Alper Ozun, Hasan Ertugrul and Ergul Haliscelik
Corporate governance and capital market development in the GCC: a comparative literature review pp. 255-274 Downloads
Mohamed A. Ateia Elhabib
Performance analysis of the Next Eleven countries regarding climate change for the selected years pp. 275-290 Downloads
Nuray Tezcan

Volume 8, issue 1, 2024

Emerging market analysis of passive and active investing under bear and bull market conditions pp. 6-24 Downloads
Thabo J. Gopane, Noel T. Moyo and Lesego F. Setaka
Geopolitical risk, economic policy uncertainty, financial stress and stock returns nexus: evidence from African stock markets pp. 25-42 Downloads
David Korsah and Lord Mensah
Short-sale constraints and stock returns: a systematic review pp. 43-66 Downloads
Mostafa Saidur Rahim Khan
Novel comparative methodology of hybrid support vector machine with meta-heuristic algorithms to develop an integrated candlestick technical analysis model pp. 67-94 Downloads
Armin Mahmoodi, Leila Hashemi, Amin Mahmoodi, Benyamin Mahmoodi and Milad Jasemi
The rise of passive investing: a systematic literature review applying PRISMA framework pp. 95-125 Downloads
Priya Malhotra
Nomination and remuneration committee: a review of literature pp. 126-168 Downloads
Ferdy Putra and Doddy Setiawan

Volume 7, issue 2, 2023

Alternatives to the efficient market hypothesis: an overview pp. 111-124 Downloads
Kingstone Nyakurukwa and Yudhvir Seetharam
The impact of exchange rates on stock market performance of the Emerging 7 pp. 125-139 Downloads
Doaa El-Diftar
Corporate climate change disclosures and capital structure strategies: evidence from Türkiye pp. 140-155 Downloads
Gultakin Gahramanova and Özlem Kutlu Furtuna

Volume 7, issue 1, 2023

Risk translation: how cryptocurrency impacts company risk, beta and returns pp. 5-21 Downloads
Jack Field and A. Can Inci
Value relevance of financial risk disclosures pp. 22-37 Downloads
Arlindo Menezes da Costa Neto, Atelmo Ferreira de Oliveira, Aline Moura Costa da Silva and Alexandro Barbosa
Does the Centrual Economic Work Conference (CEWC) affect the stock market? pp. 38-52 Downloads
Xian Wang, Yijian Zhao, Qingyi Wang, Huang Yixing and Gabedava George
The effect of financial leverage on financial performance: evidence from non-financial institutions listed on the Tokyo stock market pp. 53-71 Downloads
Richard Arhinful and Mehrshad Radmehr
Weak-form market efficiency and corruption: a cross-country comparative analysis pp. 72-90 Downloads
Özgür İcan and Taha Buğra Çelik
Gender diversity and firm performances suffering from financial distress: evidence from Indonesia pp. 91-107 Downloads
Ahmad Abbas and Andi Ayu Frihatni

Volume 6, issue 3, 2022

Strategic approach to analyze the effect of Covid-19 on the stock market volatility and uncertainty: a first and second wave perspective pp. 225-241 Downloads
Emon Kalyan Chowdhury
Financial sector and outbreak of the economic crisis in 2008: IFRS versus US GAAP pp. 242-286 Downloads
Sotirios Rouvolis
Contribution of business angel investments: evidence from Estonia pp. 287-303 Downloads
Tetsuya Kirihata
Socio-political factors underlying the adoption of green bond financing of infrastructure projects: the case of Ghana pp. 304-319 Downloads
Prosper Babon-Ayeng, Eric Oduro-Ofori, Owusu-Manu De-Graft, David James Edwards, Ernest Kissi and Augustine Senanu Komla Kukah

Volume 6, issue 2, 2022

Deep learning with small and big data of symmetric volatility information for predicting daily accuracy improvement of JKII prices pp. 130-147 Downloads
Mohammed Ayoub Ledhem
Corporate governance and capital structure in Latin America: empirical evidence pp. 148-165 Downloads
Dermeval Martins Borges Júnior
Co-movement and causal relationships between conventional and Islamic stock market returns under regime-switching framework pp. 166-184 Downloads
Fatma Mathlouthi and Slah Bahloul
Stock market development and agricultural growth of emerging economies in Africa pp. 185-202 Downloads
Chi Aloysius Ngong, Kesuh Jude Thaddeus, Lionel Tembi Asah, Godwin Imo Ibe and Josaphat Uchechukwu Joe Onwumere
Determinants of becoming an M&A acquirer or target: evidence from the US insurance industry pp. 203-218 Downloads
Gökhan Özer, Nurullah Okur and İlhan Çam

Volume 6, issue 1, 2021

Technical trading rules' profitability and dynamic risk premiums of cryptocurrency exchange rates pp. 6-32 Downloads
Khumbulani L. Masuku and Thabo J. Gopane
Large US bank takeovers in 2008: performance and implications pp. 33-47 Downloads
Guoxiang Song
Integration in banking efficiency: a comparative analysis of the European Union, the Eurozone, and the United States banks pp. 48-70 Downloads
Dimitra Loukia Kolia and Simeon Papadopoulos
Stock market development: a reflection of governance regulatory framework in Nigeria pp. 71-89 Downloads
Fisayo Fagbemi, Opeoluwa Adeniyi Adeosun and Kehinde Mary Bello
A comparison of international market indices for measuring market efficiency based on price-volume relationship pp. 90-105 Downloads
Sunay Çıralı
Investigating the relationship between bank performance and accounting standards: evidence from M&As in European banking pp. 106-124 Downloads
Ali İhsan Akgün

Volume 5, issue 1, 2021

Equity crowdfunding and financial literacy of individual investors in Japan pp. 5-27 Downloads
Masatoshi Fujii, Chie Hosomi and Yoshiaki Nose
Dynamic risk-based optimization on cryptocurrencies pp. 28-48 Downloads
Bayu Adi Nugroho
What does corporate social advocacy signal? Evidence from boycott participation decisions pp. 49-68 Downloads
Pyemo Afego and Imhotep P. Alagidede
Cracking the fault line in stock markets: the case of bonus issue announcements pp. 69-95 Downloads
Murat Isiker and Oktay Tas
Leverage and firm performance: new evidence on the role of economic sentiment using accounting information pp. 96-107 Downloads
Petros Kalantonis, Christos Kallandranis and Marios Sotiropoulos

Volume 4, issue 2, 2020

Profitability and optimal debt ratio of the automobiles and parts sector in the Euro area pp. 113-127 Downloads
Charalampos Basdekis, Apostolos Christopoulos, Ioannis Katsampoxakis and Alexandros Lyras
Is there any effect of ESG scores on portfolio performance? Evidence from Europe and Turkey pp. 129-143 Downloads
Emre Zehir and Aslı Aybars
Predictability in securities price formation: differences between developed and emerging markets pp. 145-166 Downloads
Silvio John Camilleri, Semiramis Vassallo and Ye Bai
Determinants of capital structure for firms in an Islamic equity index: comparing developed and developing countries pp. 167-191 Downloads
Evrim Hilal Kahya, Hüseyin Yiğit Ersen, Cumhur Ekinci, Oktay Taş and Koray D. Simsek
Efficiency and productivity analysis for intermediary institutions: Turkish capital markets case pp. 193-208 Downloads
Guler Aras, Yasemin Karaman and Evrim Hacioglu Kazak

Volume 4, issue 1, 2020

Basel IV implementation: a review of the case of the European Union pp. 7-24 Downloads
Mete Feridun and Alper Özün
Dividend policy and market value of banks in MENA emerging markets: residual income approach pp. 25-45 Downloads
Akram Ramadan Budagaga
Corporate citizenship, stakeholder management and Sustainable Development Goals (SDGs) in financial institutions and capital markets pp. 47-59 Downloads
Jacob Dahl Rendtorff
The impact of political instability driven by the Tunisian revolution on the relationship between Google search queries index and financial market dynamics pp. 61-76 Downloads
Yousra Trichilli, Mouna Boujelbène Abbes and Sabrine Zouari
Fed and ECB: which is informative in determining the DCC between bitcoin and energy commodities? pp. 77-102 Downloads
Abdelkader Derbali, Lamia Jamel, Monia Ben Ltaifa, Ahmed K. Elnagar and Ali Lamouchi
Page updated 2025-02-08