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文献信息
Borsa İstanbul Review provides a scholarly platform for empirical financial studies including but not limited to capital markets and institutions, investor behavior, financial centers, market structures, and corporate finance. Micro and macro data applications and comparative studies are welcome. Country coverage includes advanced, emerging and developing economies. In particular, we would like to publish empirical papers with significant policy implications and encourage submissions in the following areas: Research Topics: Investments and Portfolio Management Behavioral Finance Capital Markets and Institutions Market Microstructure Islamic Finance Financial Risk Management Capital Markets Governance
Corporate GovernanceFinancial DevelopmentOpen AccessGeneralized Method of MomentsIslamic FinanceStock MarketStock ReturnsFinancial InclusionFinancial MarketsFinancial PerformanceFinancial StabilityFinancial LiteracyInvestor SentimentEmpirical EvidenceInstitutional QualityGlobal Financial CrisisEconomic GrowthCapital StructureQuantile RegressionPortfolio Diversification
vol.25 (2025)
vol.24 (2024)
vol.23 (2023)
vol.22 (2022)
vol.21 (2021)
vol.20 (2020)
vol.19 (2019)
vol.18 (2018)
vol.17 (2017)
vol.16 (2016)
vol.15 (2015)
vol.14 (2014)
vol.13 (2013)