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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 3, issue 2, 2019

Cryptocurrencies: applications and investment opportunities pp. 98-112 Downloads
A. Can Inci and Rachel Lagasse
Improving corporate governance with functional diversity on FTSE 350 boards: directors’ perspective pp. 113-136 Downloads
Rita Goyal, Nada Kakabadse and Andrew Kakabadse
Do Fama–French common risk-factor portfolio investors herd on a daily basis? Implications for common risk-factor regressions pp. 137-156 Downloads
Chamil W. Senarathne
Stock market liberalization: implications on cost of capital in emerging Islamic countries pp. 157-178 Downloads
Bilal İlhan
A longitudinal analysis for informativeness of earnings announcements in Borsa Istanbul pp. 179-187 Downloads
Aykut Ahlatcioglu and Nesrin Okay
An investigation on impacts of structural changes in stocks’ past returns on financial analysts’ earnings forecasting rationality pp. 188-202 Downloads
Zhixin Kang

Volume 3, issue 1, 2019

Sentiment versus mood: a conceptual and empirical investigation pp. 6-17 Downloads
Albert Rapp
Performance evaluation of the Turkish pension fund system pp. 18-33 Downloads
Tolga Umut Kuzubas, Burak Saltoğlu, Ayberk Sert and Ayhan Yüksel
Does D&O insurance matter for stock price crash risk? Evidence from an Asian emerging market pp. 34-46 Downloads
Ming-Te Lee and Kai-Ting Nien
The determinants of securities trading activity: evidence from four European equity markets pp. 47-67 Downloads
Silvio John Camilleri and Francelle Galea
Factors influencing SRI fund performance pp. 68-81 Downloads
Halil Kiymaz
On sparsity of eigenportfolios to reduce transaction cost pp. 82-90 Downloads
Anqi Xiong and Ali N. Akansu

Volume 2, issue 2, 2018

Executing large-scale processes in a blockchain pp. 106-120 Downloads
Mahalingam Ramkumar
An investigation of magnet effect via overnight returns: the Malaysian case pp. 121-135 Downloads
Imtiaz Sifat, Azhar Mohamad and Zarinah Hamid
Migration policy uncertainty and stock market investor sentiment pp. 136-147 Downloads
Beyza Mina Ordu-Akkaya
Reforming accounting to support the shift towards a sustainable financial system pp. 148-161 Downloads
Nihel Chabrak
Long-term relationship of crude palm oil commodity pricing under structural break pp. 162-174 Downloads
Monsurat Ayojimi Salami and Razali Haron

Volume 2, issue 1, 2018

Due diligence in capital markets pp. 6-8 Downloads
Mervyn King
Combating corporate tax avoidance by requiring large companies to file their tax returns pp. 9-20 Downloads
Prem Sikka
Towards a well-functioning stock market in context pp. 21-36 Downloads
Jim Haslam, Jiao Ji and Hanwen Sun
Comprehensive evaluation of the financial performance for intermediary institutions based on multi-criteria decision making method pp. 37-49 Downloads
Guler Aras, Nuray Tezcan and Ozlem Kutlu Furtuna
Which aspects of CSR predict firm market value? pp. 50-69 Downloads
Stevan Bajic and Burcin Yurtoglu
A dynamic model for housing price spillovers with an evidence from the US and the UK markets pp. 70-81 Downloads
Alper Ozun, Hasan Ertugrul and Yener Coskun
Cointegration and causality in capital markets pp. 82-94 Downloads
A. Can Inci

Volume 1, issue 1, 2017

Statistical studies of financial reports and stock markets pp. 5-9 Downloads
Shyam Sunder
Understanding sustainability for socially responsible investing and reporting pp. 10-35 Downloads
Marianne Bradford, Julia B. Earp and Paul F. Williams
Leveling the playing field for less-sophisticated non-professional investors pp. 36-57 Downloads
Eileen Taylor and Jennifer Riley
The performance of US-based emerging market mutual funds pp. 58-73 Downloads
Halil Kiymaz and Koray D. Simsek
Identifying the major reversals of the BIST-30 index by extreme outliers pp. 74-88 Downloads
Ümit Erol
The flash crash: a review pp. 89-100 Downloads
Ali N. Akansu
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