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Özgür Arslan-Ayaydin
Özgür Arslan-Ayaydin
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引用次数
引用次数
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Financial flexibility, corporate investment and performance: evidence from financial crises
Ö Arslan-Ayaydin, C Florackis, A Ozkan
Review of Quantitative Finance and Accounting 42 (2), 211-250, 2014
3522014
Financial flexibility, corporate investment and performance: evidence from financial crises
Ö Arslan-Ayaydin, C Florackis, A Ozkan
Review of Quantitative Finance and Accounting 42 (2), 211-250, 2014
3322014
The role of cash holdings in reducing investment–cash flow sensitivity: Evidence from a financial crisis period in an emerging market
Ö Arslan, C Florackis, A Ozkan
Emerging Markets Review 7 (4), 320-338, 2006
2832006
Managers set the tone: Equity incentives and the tone of earnings press releases
Ö Arslan-Ayaydin, K Boudt, J Thewissen
Journal of Banking & Finance 72, S132-S147, 2016
1922016
Ownership and control structure as determinants of corporate debt maturity: a panel study of an emerging market
Ö Arslan, MB Karan
Corporate Governance: an international review 14 (4), 312-324, 2006
1282006
Küçük ve orta ölçekli işletmelerde çalışma sermayesi ve bazı finansal yönetim uygulamaları
Ö Arslan
CÜ İktisadi ve İdari Bilimler Dergisi 4 (1), 121-135, 2003
1032003
Board structure and corporate performance
O Arslan, MB Karan, C Eksi
Managing global transitions 8 (1), 3, 2010
882010
Credit risks and internationalization of SMEs
Ö Arslan, MB Karan
Journal of Business Economics and Management 10 (4), 361-368, 2009
582009
Disclosure tone management and labor unions
Ö Arslan‐Ayaydin, J Thewissen, W Torsin
Journal of Business Finance & Accounting 48 (1-2), 102-147, 2021
392021
The financial reward for environmental performance in the energy sector
Ö Arslan-Ayaydin, J Thewissen
Energy & Environment 27 (3-4), 389-413, 2016
382016
Do Sukuk provide diversification benefits to conventional bond investors? Evidence from Turkey
B Pirgaip, Ö Arslan-Ayaydin, MB Karan
Global Finance Journal 50, 100533, 2021
342021
Avoiding interest-based revenues while constructing Shariah-compliant portfolios: false negatives and false positives
Ö Arslan-Ayaydin, K Boudt, MW Raza
Journal of Portfolio Management 44 (5), 136, 2018
282018
How is moral hazard related to financing R&D and innovations?
Ö Arslan-Ayaydin, DT Barnum, MB Karan, A Ozdemir
Available at SSRN 2377788, 2014
272014
How is moral hazard related to financing R&D and innovations?
Ö Arslan-Ayaydin, DT Barnum, MB Karan, A Ozdemir
Available at SSRN 2377788, 2014
272014
Consumer Credit Risk Characteristics: Understanding Income and Expense Differentials
Ö Arslan, MB Karan
Emerging Markets Finance and Trade 46 (2), 20-37, 2010
252010
Institutions, regulations and initial coin offerings: An international perspective
P Shrestha, Ö Arslan-Ayaydin, J Thewissen, W Torsin
International Review of Economics & Finance 72, 102-120, 2021
232021
How and why do firms establish financial flexibility
O Arslan, C Florackis, A Ozkan
Working Paper, 2008
232008
Does managerial ability affect disclosure? Evidence from earnings press releases
B Yan, Ö Arslan-Ayaydin, J Thewissen, W Torsin
Asian Review of Accounting 29 (2), 192-226, 2021
21*2021
Financial Flexibility, Corporate Investment and Performance
Ö Arslan, C Florackis, A Ozkan
202010
Managerial career concerns and the content of corporate disclosures: An analysis of the tone of earnings press releases
Ö Arslan-Ayaydin, N Bishara, J Thewissen, W Torsin
International Review of Financial Analysis 72, 101598, 2020
192020
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