Citation Impact
Citing Papers
COVID-19 and finance: Agendas for future research
2020 Standout
A time-varying copula approach to oil and stock market dependence: The case of transition economies
2013 Standout
Cross-sectoral interactions in Islamic equity markets
2015
Portfolio allocations and the emerging equity markets of Central Europe
2005
Geopolitical risks and stock market dynamics of the BRICS
2018 Standout
Big data analytics as an operational excellence approach to enhance sustainable supply chain performance
2019 Standout
The risk-adjusted return potential of integrating ESG strategies into emerging market equities
2017
Capital structure and international debt shifting
2008 Standout
Matching perception with the reality—Performance of Islamic equity investments
2013 Standout
The impact of terrorism on financial markets: An empirical study
2010
Stock Market Reactions to Auto Manufacturers’ Environmental Failures
2018
What are the categories of geopolitical risks that could drive oil prices higher? Acts or threats?
2019 Standout
Signaling in Equity Crowdfunding
2015 Standout
Financial Management Competence of Founding Teams and Growth of New Technology–Based Firms
2009
Environmental, Social and Governance (ESG) disclosure, competitive advantage and performance of firms in Malaysia
2021 Standout
International profit shifting within multinationals: A multi-country perspective
2007 Standout
Foreign Tax Credit Limitations and Preferred Stock Issuances
1992
Geopolitical risk and dynamic connectedness between commodity markets
2022 Standout
Works of İlhan Meriç being referenced
Co-Movements of European Equity Markets Before and After the 1987 Crash
1997
Investment-Related Tax Shields and Capital Structure
1990
Stock market crashes, firm characteristics, and stock returns
2009
The Financial Characteristics of Small Firms Which Achieve Quotation On the Uk Unlisted Securities Market
1988
Co-movements of sector index returns in the world's major stock markets in bull and bear markets: Portfolio diversification implications
2006
Global Portfolio Diversification with Emerging Stock Markets
2016