Results 51 to 60 of about 493,452 (212)

Liquidity adjusted capital asset pricing model in an emerging market: Liquidity risk in Borsa Istanbul

open access: yes, 2019
This paper investigates the effect of liquidity risk on asset returns in an emerging market, Borsa Istanbul, under the LCAPM framework. The results suggest that including illiquidity betas to the CAPM model contribute the explanation power of systematic ...
Altay, ERDİNÇ, Calgici, Seda
core   +1 more source

Validated Signalling: How Ownership Structure Enhances ESG Disclosure Credibility in an Emerging Market

open access: yesBusiness Strategy and the Environment, EarlyView.
ABSTRACT While signalling theory predicts that ESG disclosure reduces information asymmetry and supports forward‐looking firm valuation, this relationship remains contested in emerging markets with concentrated ownership. Using a panel of 84 Turkish listed firms over 2014–2024 (924 firm‐years) and two‐step system GMM, we examine whether business groups,
Ajab Khan   +2 more
wiley   +1 more source

Auditor rotation at Borsa Istanbul firms: an event study

open access: yesPressacademia, 2015
This study investigates the market reaction surrounding the announcements of audit firm rotation by public firms quoted at BIST. In addition, it investigates how the market reaction to audit firm rotation changes based on the reputation of the previous and the new audit firms.
ARİOGLU, Emrah, TUAN, Koray
openaire   +3 more sources

Predicting IPO initial returns using random forest [PDF]

open access: yes, 2019
Empirical analyses of IPO initial returns are heavily dependent on linear regression models. However, these models can be inefficient due to its sensitivity to outliers which are common in IPO data.
Sevil, G., Baba, B.
core   +1 more source

Unveiling the Nexus Between Board Gender Diversity, CSR and Financial Performance: Evidence From an Emerging Economy

open access: yesCorporate Social Responsibility and Environmental Management, EarlyView.
ABSTRACT This study examines the nexus between board gender diversity (BGD), corporate social responsibility (CSR) performance, and financial outcomes in the context of an emerging country, Türkiye. The sample consists of Turkish non‐financial firms listed on Borsa Istanbul for the period 2008–2023.
Merve Kilic Karamahmutoglu   +1 more
wiley   +1 more source

TÜRKİYE’DE İMALAT SANAYİ KAPASİTE KULLANIM ORANI İLE BORSA İSTANBUL-100 ENDEKSİ ARASINDAKİ İLİŞKİ (2007.06-2019.12)

open access: yesSakarya Üniversitesi İktisat Dergisi, 2020
Bu çalışmada Türkiye’de imalat sanayi kapasite kullanım oranı ile Borsa İstanbul-100 endeksi arasındaki ilişki 2007:6-2019:13 dönemleri için aylık veriler kullanılarak Johansen eş bütünleşme testi Granger nedensellik testi ile araştırılmıştır.
Bahadır Sinan
doaj  

The Effect of Sustainable Production and Operations on Financial Outcomes in Turkish Manufacturing Sector: System Dynamics Evidence From BIST‐Listed Companies

open access: yesCorporate Social Responsibility and Environmental Management, EarlyView.
ABSTRACT Sustainable production and operations (SPO) are widely expected to influence firm performance through improvements in efficiency, legitimacy, and organizational capabilities. This study uses ISO certifications as a proxy for SPO and examines both adoption determinants and performance implications using a balanced panel of 142 manufacturing ...
Damla Durak Uşar
wiley   +1 more source

Finansal Oranlar ile Firma Değeri İlişkisinin Borsa İstanbul ve Londra Borsası İmalat Sanayi Sektörlerinde Karşılaştırılması

open access: yesEkonomi, Politika & Finans Araştırmaları Dergisi, 2020
Firmaların faaliyet sonuçlarının, mevcut finansal durumlarının detaylı olarak yorumlayabilmek için finansal oranlar kullanılmaktadır. Firmaların ürettikleri söz konusu muhasebe bilgisi ile piyasa değerleri arasında ilişkinin incelenmesi uzun zamandır ...
Umut Uyar, Gözde Sarak
doaj   +1 more source

The Effects of Macroeconomic Indicators on Lending Interest Rates: Evidence from BRICST, MINT, and Fragile Five Countries

open access: yesSelçuk Üniversitesi Sosyal Bilimler Meslek Yüksekokulu Dergisi, 2022
This study analyzes the effects of the macroeconomic indicators on the lending interest rates in the leading emerging countries by considering the significance of the interest rates for economic growth since high-level interest rates decrease economic ...
Mustafa Tevfik Kartal   +2 more
doaj   +1 more source

Assessing Sustainability Performance in the Life Insurance Industry: An Integrated Sustainability Balanced Scorecard Framework Under q‐Rung Orthopair Fuzzy Information

open access: yesCorporate Social Responsibility and Environmental Management, EarlyView.
ABSTRACT Assessing the sustainability performance of life insurers has become increasingly important, as long‐term competitiveness depends not only on financial soundness but also on environmental, social, organizational, and governance‐related capabilities.
Özcan Işık, İbrahim Adalar
wiley   +1 more source

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