Borsa İstanbul Review provides a scholarly platform for empirical financial studies including but not limited to financial markets and institutions, financial economics, investor behavior, financial centers and market structures, corporate finance, recent economic and financial trends. Micro and macro data applications and comparative studies are welcome. Country coverage includes advanced, emerging and developing economies.
伊斯坦布尔证券交易所评论(Borsa Istanbul Review)是一本由Elsevier出版的一本Multiple学术刊物,主要报道Multiple相关领域研究成果与实践。本刊已入选、社会科学引文索引(SCIE)来源期刊,该刊创刊于2013年,出版周期4 issues/year。2021-2022年最新版WOS分区等级:Q1,2023年发布的影响因子为6.3,CiteScore指数7.6,SJR指数1.04。本刊为开放获取期刊。 Borsaİstanbul Review为实证金融研究提供了一个学术平台,包括但不限于金融市场和机构、金融经济学、投资者行为、金融中心和市场结构、公司融资、近期经济和金融趋势。欢迎微观和宏观数据应用和比较研究。国家覆盖范围包括发达经济体、新兴经济体和发展中经济体。
Financial inclusion and its impact on financial efficiency and sustainability: Empirical evidence from Asia
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2019.07.002
Oil price volatility, Islamic financial development and economic growth in Gulf Cooperation Council (GCC) countries
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2018.07.005
Google search and stock returns in emerging markets
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2019.07.001
Does investing in intellectual capital improve productivity? Panel evidence from commercial banks in India
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2019.03.001
The contracts, structures and pricing mechanisms of sukuk: A critical assessment
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2018.10.001
A survey on Islamic Finance and accounting standards
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2019.07.006
How information technologies shape investor sentiment: A web-based investor sentiment index
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2019.01.001
Decoupling hypothesis of Islamic stocks: Evidence from copula CoVaR approach
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2018.09.001
Turkish currency crisis – Spillover effects on European banks
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2019.07.003
Ramifications of varying banking regulations on performance of Islamic Banks
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2018.05.005
The nexus of anomalies-stock returns-asset pricing models: The international evidence
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2018.07.003
Risk, return and portfolio optimization for various industries in the ASEAN region
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2018.09.003
Does competition make banks riskier in dual banking system
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2018.09.002
Factoring as a determinant of capital structure for large firms: Theoretical and empirical analysis
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2019.05.001
Dynamics of the impact of currency fluctuations on stock markets in India: Assessing the pricing of exchange rate risks
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2018.04.004
Transparency and bank risk-taking in GCC Islamic banking
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2019.02.001
The moderating effect of the board of directors on firm value and tax planning: Evidence from European listed firms
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2019.07.005
Factors affecting leverage during a financial crisis: Evidence from Turkey
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2018.07.002
Big data in finance: Evidence and challenges
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2019.07.007
Foreign penetration, competition, and credit risk in banking
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2019.05.003
Macroprudential policy and tools in a dual banking system: Insights from the literature
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2018.04.001
Examining the dynamics of illiquidity risks within the phases of the business cycle
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2018.12.001
Are ETFs good vehicles for diversification? New evidence for critical investment periods
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2019.01.002
Doing well while doing good: The case of Islamic and sustainability equity investing
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2019.02.002
Does the interest tax shield align with maqasid al Shariah in finance
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2018.07.004
Financial constraints, firm productivity and cross-country income differences: Evidence from sub-Sahara Africa
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2019.07.004
Liquidity adjusted capital asset pricing model in an emerging market: Liquidity risk in Borsa Istanbul
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2019.06.002
Developing financial disclosure quality in sukuk and bond market: Evidence from Indonesia, Malaysia, and Australia
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2019.05.002
Explosive behavior in the real estate market of Turkey
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2018.10.002
Does credit rating revision affect the price of a special class of common stock
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2019.02.004
The balance between fiscal consolidation and non-oil growth: The case of the UAE
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2018.05.002
Does corporate R&D investment support to decrease of default probability of Asian firms?
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2019.07.009
Size, correlations, and diversification: New evidence from an application of wavelet approach to the emerging Islamic mutual fund industry
来源期刊:Borsa Istanbul ReviewDOI:10.1016/J.BIR.2018.08.001