Borsa Istanbul Review

短名Borsa Istanb. Rev.
Journal Impact6.42
国际分区ECONOMICS(Q1)
期刊索引SCI Q1中科院 2 区
ISSN2214-8450, 2214-8469
h-index42
国内分区经济学(2区)经济学商业财政与金融(2区)经济学经济学(2区)

期刊主页
涉及主题经济业务财务数学货币经济学地理计量经济学历史考古金融经济学计算机科学宏观经济学政治学法学哲学生物统计金融体系工程类机器学习物理地质学会计机械工程
出版信息出版商: Borsa Istanbul Anonim Sirketi出版周期: 期刊类型: journal
基本数据创刊年份: 2013原创研究文献占比90.68%自引率:6.30%Gold OA占比: 98.19%
平均审稿周期 网友分享经验:15 Weeks

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最新文章

Editorial Board

2024-9-1

Option-based Variables and Future Stock Returns in Normal Times and Recessions

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Connected but fragile: Fund-to-fund holdings and redemptions

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The impact of ESG controversies on the financial performance of firms: An analysis of industry and country clusters

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Digital technology development and systemic financial risks: Evidence from 22 countries

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The efficacy of green finance for environmental sustainability: Does control of corruption makes a difference?

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Oil shocks and the transmission of higher-moment information in US industry: Evidence from an asymmetric puzzle

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Editorial Board

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Contribution to the measurement of digital financial inclusion in Sub-Saharan Africa

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Asymmetric TVP-VAR connectedness between highly traded commodities and hedging strategies: Evidence from major contagions

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Conditional effects of higher order co-moments in asset pricing: Evidence from Borsa Istanbul

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ESG rating uncertainty and institutional investment—evidence from China

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Quantile Connectedness between VIX and Global Stock Markets

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Rapid credit expansion and firm behavior: A case study from Türkiye

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Quantile-based extended joint connectedness between trade policy uncertainty and GCC Islamic stock sectoral volatility

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Does digital technology enhance the global value chain position?

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Does data assetisation improve corporate liquidity and corporate growth? Evidence from “hidden champion” SMEs in China

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The factors influencing the selection of fund management companies by Malaysian retail investors in the context of islamic unit trust funds

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Unveiling the link between female directors’ attributes, ownership concentration, and integrated reporting strategy in Malaysia

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Shareholding control, ownership concentration, and the value of the Brazilian firm

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The Relationship Between Employee Experience and Employee Engagement with The Moderating Role of Positive Affect in Finance Sector

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Financial literacy among Chinese rural households and its impact on stock market participation

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Editorial Board

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Asset allocation models for Big Tech stocks: The importance of Lower Partial Moments and short length windows

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Testing asset pricing models with individual stocks: An instrumental variables approach

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Uncertainty in banking and trade credit of firms

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On the Quadratic Variation in Limit Order Markets

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The role of Corporate Governance in the nexus between Litigation Risk and Corporate Innovation

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Analyzing the Impact of Eco-Friendly Bond on Economic Growth and Environmental Sustainability

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The influence of corporate social responsibility and social values on bank performance: A global study

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Idiosyncratic risk and market volatility: Threat or opportunity for returns? A study of Borsa Istanbul stocks

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Economic Policy Uncertainty and Options Market Participation: Hedge or Speculation?

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Performance Assessment of Participation Banks Based on Maqasid al-Shari’ah Framework: Evidence from Türkiye

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MULTIPLE DIRECTORSHIPS AND DIVIDENDS IN SPANISH LISTED FIRMS

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