Статті в журналах з теми "Banks stock indices"
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Arı, Yakup. "The CARR-volatility connectedness between USD/TRY and foreign banks in Turkey: Evidence by TVP-VAR." Applied Econometrics 67, no. 3 (2022): 5–26. http://dx.doi.org/10.22394/1993-7601-2022-67-5-26.
Повний текст джерелаJaveed, Laila. "Effect of Corporate Governance on Islamic Banking: Evidence from Listed Firms of Pakistani Stock Exchange." International Journal of Accounting and Financial Reporting 9, no. 1 (January 3, 2019): 170. http://dx.doi.org/10.5296/ijafr.v9i1.14260.
Повний текст джерелаEl Msiyah, Cherif, Jaouad Madkour, Younes Berouaga, Ayoub Kyoud, and Ali Ait Lahcen. "Moroccan Stock Exchange market topology in crisis and non-crisis periods." Investment Management and Financial Innovations 19, no. 4 (December 8, 2022): 274–84. http://dx.doi.org/10.21511/imfi.19(4).2022.22.
Повний текст джерелаNoulas, Athanasios, Ioannis Papanastasiou, and Simeon Papadopoulos. "Sectors stock indices aggregate correlations and expectations: Evidence from the Greek stock market." Risk Governance and Control: Financial Markets and Institutions 11, no. 2 (2021): 71–81. http://dx.doi.org/10.22495/rgcv11i2p6.
Повний текст джерелаAnwer, Zaheer, Wajahat Azmi, and Shamsher Mohamad Ramadili Mohd. "How do Islamic equities respond to monetary actions?" International Journal of Emerging Markets 14, no. 4 (October 14, 2019): 503–22. http://dx.doi.org/10.1108/ijoem-11-2017-0459.
Повний текст джерелаEl Hawary, Engy Mohsen, and Iman Mamdouh Arafa. "Studying the Effect of Stakeholders on the Disclosure of Corporate Social Responsibility by Banks: Evidence from Egypt." Accounting and Finance Research 7, no. 4 (November 23, 2018): 200. http://dx.doi.org/10.5430/afr.v7n4p200.
Повний текст джерелаSehgal, Meru, and Shruti Gupta. "Stock Markets in Changing Times." International Journal of Business Analytics 8, no. 3 (July 2021): 14–25. http://dx.doi.org/10.4018/ijban.2021070102.
Повний текст джерелаWahhab, Asaad, Mohammed Abd Ali M. A. Al Fattehallah, and Mohammed Hwueish Allawi Alsujair. "Transparency of Financial Reporting According to the S&P500 Indices and its Implications for Accounting Information Risks - Evidence from the Iraq Stock Exchange." Technium Business and Management 2, no. 3 (December 20, 2022): 140–58. http://dx.doi.org/10.47577/business.v2i3.8067.
Повний текст джерелаBrezis, Elise S., and Joël Cariolle. "The revolving door, state connections, and inequality of influence in the financial sector." Journal of Institutional Economics 15, no. 4 (January 18, 2019): 595–614. http://dx.doi.org/10.1017/s1744137418000498.
Повний текст джерелаAbdel Hakim, Hisham Talaat, and Shakir Mohsin Saber Alwahili. "Effect of Exchange Rate Risk in the Market Value of Banks Stocks." Iraqi Administrative Sciences Journal 1, no. 3 (September 30, 2017): 145–78. http://dx.doi.org/10.33013/iqasj.v1n3y2017.pp145-178.
Повний текст джерелаČernohorská, Liběna, and Darina Kubicová. "Risks and the influence of negative interest rates on economic activity: a case study of Sweden, Denmark, and Switzerland." Banks and Bank Systems 15, no. 1 (February 27, 2020): 30–41. http://dx.doi.org/10.21511/bbs.15(1).2020.04.
Повний текст джерелаDjukic, Djordje, and Malisa Djukic. "Interdependencies of markets in southeastern Europe and buyback of shares on shallow capital markets: The application of cointegration and causality tests." Panoeconomicus 62, no. 4 (2015): 469–91. http://dx.doi.org/10.2298/pan1504469d.
Повний текст джерелаBibi, Robeena, and Sumaira. "The effect of financial development on economic Growth: Evidence from south Asian developing countries." Journal of Environmental Science and Economics 1, no. 1 (January 6, 2022): 1–17. http://dx.doi.org/10.56556/jescae.v1i1.1.
Повний текст джерелаSultonov, Mirzosaid. "External Shocks and Volatility Overflow among the Exchange Rate of the Yen, Nikkei, TOPIX and Sectoral Stock Indices." Journal of Risk and Financial Management 14, no. 11 (November 19, 2021): 560. http://dx.doi.org/10.3390/jrfm14110560.
Повний текст джерелаMészáros, Mercédesz, Dóra Sallai, and Gábor Dávid Kiss. "Can Market Making of Last Resort Calm the European Stock Markets? The Result of Quantile Regressions on a Sample of Six European Countries." Econometric Research in Finance 6, no. 1 (June 1, 2021): 21–44. http://dx.doi.org/10.2478/erfin-2021-0002.
Повний текст джерелаKumar, Rajeev, Noel G. Cadigan, Nan Zheng, Divya A. Varkey, and M. Joanne Morgan. "A state-space spatial survey-based stock assessment (SSURBA) model to inform spatial variation in relative stock trends." Canadian Journal of Fisheries and Aquatic Sciences 77, no. 10 (October 2020): 1638–58. http://dx.doi.org/10.1139/cjfas-2019-0427.
Повний текст джерелаOlusola Esther, Igbekoyi, and Agbaje Wale Henry. "Corporate Governance and Accounting Information Disclosure in the Nigerian Banking Sector." International Review of Business and Economics 2, no. 1 (2018): 27–48. http://dx.doi.org/10.56902/irbe.2018.2.1.7.
Повний текст джерелаORHAN, Mehmet, and Halil Ä°brahim ÇELÄ°KEL . "The Spillover Effects of Fed’s Policies with Emphasis to the Fragile Five." Journal of Economics and Behavioral Studies 6, no. 12 (December 30, 2014): 1011–20. http://dx.doi.org/10.22610/jebs.v6i12.557.
Повний текст джерелаStola, Emilia. "Kryzysy finansowe a bezpieczeństwo działalności banków komercyjnych." Zeszyty Naukowe SGGW - Ekonomika i Organizacja Gospodarki Żywnościowej, no. 109 (April 3, 2015): 85–96. http://dx.doi.org/10.22630/eiogz.2015.109.7.
Повний текст джерелаELOSIUBA, J. N., and Emma OKOYE. "EFFECT OF INTERNATIONAL FINANCIAL REPORTING STANDARD ON CORPORATE PERFORMANCE OF SELECTED BANKS LISTED ON NIGERIA STOCK EXCHANGE." Annals of Spiru Haret University. Economic Series 18, no. 1 (March 30, 2018): 77–104. http://dx.doi.org/10.26458/1813.
Повний текст джерелаSathyanarayana, S., and Sudhindra Gargesa. "An Analytical Study of the Effect of Inflation on Stock Market Returns." IRA-International Journal of Management & Social Sciences (ISSN 2455-2267) 13, no. 2 (December 8, 2018): 48. http://dx.doi.org/10.21013/jmss.v13.n2.p3.
Повний текст джерелаBolibok, Piotr. "The Impact of Social Responsibility Performance on the Value Relevance of Financial Data in the Banking Sector: Evidence from Poland." Sustainability 13, no. 21 (October 29, 2021): 12006. http://dx.doi.org/10.3390/su132112006.
Повний текст джерелаSmaga, Paweł. "Are interest rate changes comoving with financial cycle?" Acta Oeconomica 71, no. 2 (June 23, 2021): 259–77. http://dx.doi.org/10.1556/032.2021.00013.
Повний текст джерелаLynam, Christopher P., Nicholas C. Halliday, Hannes Höffle, Peter J. Wright, Cindy J. G. van Damme, Martin Edwards, and Sophie G. Pitois. "Spatial patterns and trends in abundance of larval sandeels in the North Sea: 1950–2005." ICES Journal of Marine Science 70, no. 3 (February 18, 2013): 540–53. http://dx.doi.org/10.1093/icesjms/fst006.
Повний текст джерелаAgarwal, Shweta, Shailendra Kumar, and Utkarsh Goel. "SOCIAL MEDIA AND THE STOCK MARKETS: AN EMERGING MARKET PERSPECTIVE." Journal of Business Economics and Management 22, no. 6 (November 18, 2021): 1614–32. http://dx.doi.org/10.3846/jbem.2021.15619.
Повний текст джерелаNugroho, Antonius W., Mohamad Adam, Marlina Widiyanti, and Sulastri Sulastri. "Analysis of Financial Stability Determinants in Indonesia." Journal of Sosial Science 2, no. 2 (March 25, 2021): 99–106. http://dx.doi.org/10.46799/jsss.v2i2.105.
Повний текст джерелаPantos, Themis D. "EU Banking Directives: risk and wealth effects on the Greek financial sector." Journal of Risk Finance 9, no. 1 (January 4, 2008): 9–19. http://dx.doi.org/10.1108/15265940810842384.
Повний текст джерелаQuaranta, Anna Grazia, Nico Di Gabriele, and Ermanno Zigiotti. "Impairment of intangible assets and disclosure by Italian banks." Managerial Finance 45, no. 2 (February 11, 2019): 311–30. http://dx.doi.org/10.1108/mf-09-2017-0352.
Повний текст джерелаBhattacharjee, Animesh, Madhu Kumari, and Joy Das. "Investigating the Impact of the Announcement of Loan Moratorium on Stock Prices: Evidence from Indian Public Sector Banks." Jindal Journal of Business Research 9, no. 2 (November 25, 2020): 106–16. http://dx.doi.org/10.1177/2278682120969014.
Повний текст джерелаThanh, Le Trung, Nguyen Thi Ngan, and Hoang Trung Nghia. "Forecasting Value at Risk: Evidence from Emerging Economies in Asia." Science & Technology Development Journal - Economics - Law and Management 2, no. 1 (December 28, 2018): 77–90. http://dx.doi.org/10.32508/stdjelm.v2i1.504.
Повний текст джерелаMagkonis, Georgios, and Andreas Tsopanakis. "THE FINANCIAL CONNECTEDNESS BETWEEN EUROZONE CORE AND PERIPHERY: A DISAGGREGATED VIEW." Macroeconomic Dynamics 24, no. 7 (January 31, 2019): 1674–99. http://dx.doi.org/10.1017/s1365100518000998.
Повний текст джерелаWalther, Thomas. "Expected shortfall in the presence of asymmetry and long memory." Pacific Accounting Review 29, no. 2 (April 3, 2017): 132–51. http://dx.doi.org/10.1108/par-06-2016-0063.
Повний текст джерелаArinal, Fashli, Herdiansyah Herdis, and A. Saragi Putri. "Green Banking and Infrastructure Project Financing for Sustainable Development." E3S Web of Conferences 73 (2018): 10001. http://dx.doi.org/10.1051/e3sconf/20187310001.
Повний текст джерелаZhao, Qun, Pei-Hsuan Tsai, and Jin-Long Wang. "Improving Financial Service Innovation Strategies for Enhancing China’s Banking Industry Competitive Advantage during the Fintech Revolution: A Hybrid MCDM Model." Sustainability 11, no. 5 (March 7, 2019): 1419. http://dx.doi.org/10.3390/su11051419.
Повний текст джерелаBanerjee, Sreejata, and Divya Murali. "Stress test of banks in India across ownerships: a VAR approach." Studies in Economics and Finance 34, no. 4 (October 2, 2017): 527–54. http://dx.doi.org/10.1108/sef-11-2014-0213.
Повний текст джерелаAl-Oshaibat, Suleiman Daood, and Sufian Radwan Al-Manaseer. "The Effect of Accounting and Market Indicators on Predicting the Stock Prices for Jordanian Banks: An Econometric Study for the Period (2010-2015)." International Journal of Economics and Finance 10, no. 4 (March 16, 2018): 146. http://dx.doi.org/10.5539/ijef.v10n4p146.
Повний текст джерелаBuczyński, Mateusz, and Marcin Chlebus. "Comparison of Semi-Parametric and Benchmark Value-At-Risk Models in Several Time Periods with Different Volatility Levels." e-Finanse 14, no. 2 (June 1, 2018): 67–82. http://dx.doi.org/10.2478/fiqf-2018-0013.
Повний текст джерелаAbidi, Ilyes, Mariem Nsaibi, and Boutheina Regaieg. "Financial Stability of Islamic Finance." International Journal of Accounting and Financial Reporting 10, no. 1 (January 6, 2020): 92. http://dx.doi.org/10.5296/ijafr.v10i1.16060.
Повний текст джерелаPrayagsing, Chakeel, and Kheswar Jankee. "Influence of External Sources of Funding on Corporate Financial Policies in a Pre-Financial Crisis Period in South Africa—A Case Study of Mauritian Enterprises." Journal of Economics and Public Finance 3, no. 3 (June 3, 2017): 287. http://dx.doi.org/10.22158/jepf.v3n3p287.
Повний текст джерелаAhmed, Walid M. A. "The asymmetric price-volume relation revisited: evidence from Qatar." Journal of Asia Business Studies 12, no. 2 (May 8, 2018): 193–219. http://dx.doi.org/10.1108/jabs-11-2015-0194.
Повний текст джерелаPochukalin, A. Ye, O. V. Rizun, and S. V. Priyma. "«CONSTITUTIO» OF GENEALOGICAL STRUCTURE OF UKRAINIAN RED-AND-WHITE DAIRY CATTLE." Animal Breeding and Genetics 51 (March 28, 2018): 140–47. http://dx.doi.org/10.31073/abg.51.19.
Повний текст джерелаDogra, Varun, Aman Singh, Sahil Verma, Abdullah Alharbi, and Wael Alosaimi. "Event Study: Advanced Machine Learning and Statistical Technique for Analyzing Sustainability in Banking Stocks." Mathematics 9, no. 24 (December 20, 2021): 3319. http://dx.doi.org/10.3390/math9243319.
Повний текст джерелаRashid, Abdul, and Maurizio Intartaglia. "Financial development – does it lessen poverty?" Journal of Economic Studies 44, no. 1 (January 9, 2017): 69–86. http://dx.doi.org/10.1108/jes-06-2015-0111.
Повний текст джерелаChakraborty, Rekha Devi, A. P. Gayathri, P. Purushothaman, G. Kuberan, G. Maheswarudu, and E. M. Abdussamad. "Preliminary investigation of age analysis in crustacean species from the Indian coast, using growth bands." Crustaceana 95, no. 5-6 (July 29, 2022): 605–14. http://dx.doi.org/10.1163/15685403-bja10214.
Повний текст джерелаFELEDYN-SZEWCZYK, BEATA, and IRENA DUER. "Podobieństwo glebowego banku nasion i aktualnego zachwaszczenia łanu pszenicy ozimej w różnych systemach produkcji rolnej." Agronomy Science 62, no. 2 (April 7, 2022): 157–67. http://dx.doi.org/10.24326/as.2007.2.18.
Повний текст джерелаNekhili, Ramzi, and Kostas Giannopoulos. "Brexit and the dependence structure among the G7 bank equity markets." Investment Management and Financial Innovations 17, no. 2 (June 29, 2020): 231–39. http://dx.doi.org/10.21511/imfi.17(2).2020.18.
Повний текст джерелаM, Vivek Prabu, and Dharani K S. "Major reasons behind the whitewash of lakshmi vilas bank from the indian stock market – an analysis with mathematical approach." Kongunadu Research Journal 8, no. 1 (March 31, 2021): 80–84. http://dx.doi.org/10.26524/krj.2021.12.
Повний текст джерелаWang, Li, and Yong Zhou. "Combining Multitemporal Sentinel-2A Spectral Imaging and Random Forest to Improve the Accuracy of Soil Organic Matter Estimates in the Plough Layer for Cultivated Land." Agriculture 13, no. 1 (December 20, 2022): 8. http://dx.doi.org/10.3390/agriculture13010008.
Повний текст джерелаKuitenbrouwer, Maarten, and Huibert Schijf. "The Dutch Colonial Business Elite at the Turn of the Century." Itinerario 22, no. 1 (March 1998): 61–86. http://dx.doi.org/10.1017/s0165115300012420.
Повний текст джерелаFrati, Giovanni, Patrick Launeau, Marc Robin, Manuel Giraud, Martin Juigner, Françoise Debaine, and Cyril Michon. "Coastal Sand Dunes Monitoring by Low Vegetation Cover Classification and Digital Elevation Model Improvement Using Synchronized Hyperspectral and Full-Waveform LiDAR Remote Sensing." Remote Sensing 13, no. 1 (December 23, 2020): 29. http://dx.doi.org/10.3390/rs13010029.
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