Investigating the relationship between working capital management and business performance: Evidence from the 2008 financial crisis of EU-28
AI Akgün, AM Karataş - International Journal of Managerial Finance, 2020 - emerald.com
The relationship between the working capital management and business performance is
examined using panel data analysis for a sample of EU-28 listed firms for the period from …
examined using panel data analysis for a sample of EU-28 listed firms for the period from …
[HTML][HTML] China's transition to a digital currency does it threaten dollarization?
AF Aysan, FN Kayani - Asia and the Global Economy, 2022 - Elsevier
This article provides a detailed introduction to China's launching of a digital currency. We
conduct a comparative analysis concerning whether digital currency is a more stable and …
conduct a comparative analysis concerning whether digital currency is a more stable and …
Liquidity and firm value in an emerging market
This paper investigates the link between stock market liquidity and firm value in an important
emerging market, Vietnam. Specially, we examine this relationship using a sample of firms …
emerging market, Vietnam. Specially, we examine this relationship using a sample of firms …
[图书][B] Money power and financial capital in emerging markets: Facing the liquidity tsunami
I Alami - 2019 - taylorfrancis.com
This book provides a comprehensive investigation of the messy and crisis-ridden
relationship between the operations of capitalist finance, global capital flows, and state …
relationship between the operations of capitalist finance, global capital flows, and state …
Integration of Islamic bank specific risks and their impact on the portfolios of Islamic Banks
Integration of Islamic bank specific risks and their impact on the portfolios of Islamic Banks |
Emerald Insight Books and journals Case studies Expert Briefings Open Access Advanced …
Emerald Insight Books and journals Case studies Expert Briefings Open Access Advanced …
Capital inflows and bank stability around the financial crisis: the mitigating role of macro-prudential policies
While capital inflows bring a number of benefits to recipient countries, they may also
exacerbate some risks including financial instability. In this paper, we propose that cross …
exacerbate some risks including financial instability. In this paper, we propose that cross …
[HTML][HTML] Borrower-and lender-based macroprudential policies: What works best against bank systemic risk?
This paper investigates the complementarity between the different macroprudential policies
to contain bank systemic risk. We use a newly updated version of the IMF survey on Global …
to contain bank systemic risk. We use a newly updated version of the IMF survey on Global …
Macroprudential policies as buffer against volatile cross-border capital flows
This paper investigates the effectiveness of macroprudential policies introduced by Turkey in
late 2010. The unprecedented quantitative easing policies of advanced countries after the …
late 2010. The unprecedented quantitative easing policies of advanced countries after the …
Multiple policy interest rates and economic performance in a multiple monetary-policy-tool environment
S Varlik, MH Berument - International Review of Economics & Finance, 2017 - Elsevier
This paper assesses the individual effects on economic performance of different monetary
policy interest rates for a central bank. To measure these effects, we employ an extension of …
policy interest rates for a central bank. To measure these effects, we employ an extension of …
Identification of monetary policy shocks in Turkey: a structural VAR approach
This paper tries to identify the monetary policy shocks in Turkey during the explicit inflation
targeting period starting from 2006 using a structural VAR approach. We model Turkey as a …
targeting period starting from 2006 using a structural VAR approach. We model Turkey as a …