Ara
Toplam kayıt 304, listelenen: 301-304
Return and risk spillovers between the ESG global index and stock markets: Evidence from time and frequency analysis
(Elsevier, 2022)
In this paper, we examine comovements between stock market returns and investments that take into account Environmental, Social, and Governance (ESG) factors by studying the interconnections between the two returns in time ...
The long-run analysis of the association between macroeconomic variables and suicide: the case of Turkic-speaking countries in Central Asia
(Routledge Journals, Taylor & Francis Ltd, 2023)
Using an unbalanced data set covering the years from 1990 to 2017, this study examines the long-run relationship between three selected macroeconomic variables (unemployment, per capita gross domestic product (GDP) and ...
Does Sukuk market development promote economic growth?
(Emerald Group Holdings Ltd., 2020)
Purpose: This paper aims to explain the relationship between sukuk market and economic growth. In this context, the study investigates the impact of sukuk market development on economic growth for nine countries (Brunei, ...
Correction to: Construction of the monetary conditions index with TVP-VAR model: Empirical evidence for Turkish economy
(Springer, 2021)
[No abstract available]