Works about BANK stocks
Results: 296
UNCONVENTIONAL MONETARY POLICIES AND FINANCIAL MARKETS: A CAUSALITY ANALYSIS FOR TURKIYE.
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- Journal of Management & Economics Research, 2024, v. 22, n. 4, p. 226, doi. 10.11611/yead.1565349
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Verifying the Role of Dividends as a Mediator in the Impact of Cash Flows on Bank Stock Returns on the Iraq Stock Exchange: An Empirical Analysis.
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- Journal of Risk & Financial Management, 2025, v. 18, n. 2, p. 102, doi. 10.3390/jrfm18020102
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Prioritizing the Net Sentiment Score: A Banking Industry Case Study.
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- Anáhuac Journal, 2024, v. 24, n. 1, p. 272, doi. 10.36105/theanahuacjour.2024v24n1.10
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Effect of real estate news sentiments on the stock returns of Swedbank and SEB Bank.
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- University of Tartu - Faculty of Economics & Business Administration Working Paper Series, 2020, n. 122, p. 3
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- Article
(2016-2010)أثر اإلستثمار األجنبي غير المباشر في مؤشرات التداول لممصارف اإلسالمية )بحث تطبيقي في سوق العراق لألوراق المالية لمفترة.
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- Journal of Baghdad College of Economic Sciences University, 2019, n. 58, p. 293
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Reforming Banks Without Destroying Their Productivity and Value.
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- Journal of Applied Corporate Finance, 2013, v. 25, n. 4, p. 14, doi. 10.1111/jacf.12037
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Impact of Inflation on Stock Returns in Banks and Financial Services Sector in Egyptian Stock Exchange.
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- Economic & Managerial Researshes, 2020, v. 14, n. 1, p. 205
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ECONOMETRIC ESTIMATION OF BANKING STOCKS.
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- Journal of Developing Areas, 2017, v. 51, n. 4, p. 207, doi. 10.1353/jda.2017.0098
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Discussion of Income Measures and Bank Stock Values.
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- Journal of Accounting Research (Wiley-Blackwell), 1970, v. 8, n. 3, p. 189, doi. 10.2307/2674707
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Income Measures and Bank Stock Values.
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- Journal of Accounting Research (Wiley-Blackwell), 1970, v. 8, n. 3, p. 178, doi. 10.2307/2674706
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Event Study: Advanced Machine Learning and Statistical Technique for Analyzing Sustainability in Banking Stocks.
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- Mathematics (2227-7390), 2021, v. 9, n. 24, p. 3319, doi. 10.3390/math9243319
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- Article
أثر تطور الجهاز المصرفي وسوق األوراق المالية على نمو الصناعة دراسة مقارنة بين األردن ومصر.
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- Zarqa Journal for Research & Studies in Humanities, 2023, v. 23, n. 1, p. 158, doi. 10.12816/0061439
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- Article
أثر تطور الجهاز المصرفي وسوق األوراق المالية على نمو الصناعة دراسة مقارنة بين األردن ومصر.
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- Zarqa Journal for Research & Studies in Humanities, 2023, v. 23, n. 1A, p. 158, doi. 10.12816/006145539
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- Article
Bankacılık Sektörüne Derin Öğrenme Yöntemiyle Bakış: BIST Banka Endeksi Hareket Yönlerinin Tahmini.
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- Itobiad: Journal of the Human & Social Science Researches / İnsan ve Toplum Bilimleri Araştırmaları Dergisi, 2024, v. 13, n. 3, p. 1277, doi. 10.15869/itobiad.1451709
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The volatility of bank stock prices and macroeconomic fundamentals in the Pakistani context: an application of GARCH and EGARCH models.
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- Oeconomia Copernicana, 2020, v. 11, n. 4, p. 609, doi. 10.24136/oc.2020.025
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- Article
FINTECH'LERE YAPILAN YATIRIMLARIN BANKALARIN HİSSE SENEDİ GETİRİLERİ ÜZERİNDEKİ ETKİSİ: TÜRKİYE ÖRNEĞİ.
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- Marmara University Journal of Economic & Administrative Sciences, 2023, v. 45, n. 1, p. 21, doi. 10.14780/muiibd.1317201
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Tarım Sektörü Hisse Senetlerinden Oluşan Portföy Riskinin Monte Carlo Simülasyonu ile Hesaplanması.
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- Journal of the Institute of Science & Technology / Iğdır Üniversitesi Fen Bilimleri Enstitüsü Dergisi, 2021, v. 11, n. 1, p. 699, doi. 10.21597/jist.763595
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The Effect of the Central Bank's Policies towards Bank Performance during the COVID-19 Pandemic: Evidence from Thailand.
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- International Review of Accounting, Banking & Finance, 2022, v. 14, n. 1, p. 11
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- Article
Predictability of Bank Stock Returns: Evidence from the Endurance Index of Bank Investor Sentiment.
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- International Review of Accounting, Banking & Finance, 2014, v. 6, n. 2, p. 43
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Analysing Interest Rate and Exchange Rate Volatility on South African Banks' Stock Returns Considering the COVID-19 Pandemic.
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- Acta Universitatis Danubius: Œconomica, 2022, v. 18, n. 6, p. 312
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PRINCIPLES AND MODELS OF FORECASTING OF THE ESSENTIAL INDICATORS OF STOCK MUTUAL FUNDS.
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- Issues of Business & Law, 2011, v. 3, p. 62, doi. 10.2478/v10088-011-0006-4
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Jump Aggregation, Volatility Prediction, and Nonlinear Estimation of Banks' Sustainability Risk.
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- Sustainability (2071-1050), 2020, v. 12, n. 21, p. 8849, doi. 10.3390/su12218849
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The impact of hedging and trading derivatives on value, performance and risk of European banks.
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- Empirical Economics, 2020, v. 58, n. 2, p. 535, doi. 10.1007/s00181-018-1545-1
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Multimarket contact, market power and financial stability in the Turkish banking industry.
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- Empirical Economics, 2016, v. 50, n. 2, p. 361, doi. 10.1007/s00181-015-0936-9
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Testing for nonlinearities in German bank stock returns.
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- Empirical Economics, 2001, v. 26, n. 3, p. 581, doi. 10.1007/s001810000072
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Selling an S Corporation Bank: Critical Federal Tax Planning Issues.
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- Journal of Taxation & Regulation of Financial Institutions, 2012, v. 25, n. 5, p. 5
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The Effect of Return on Equity, Loan to Deposit Ratio, Non-Performing Loan, and Capital Adequacy Ratio on the Price of Banking Stocks Listed on the Indonesia Stock Exchange in the Period 2011-2020.
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- Central Asia & the Caucasus (14046091), 2022, v. 23, n. 1, p. 926, doi. 10.37178/ca-c.23.1.086
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The Myth of 1926: How Much Do We Know About Long-Term Returns on U.S. Stocks?
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- Journal of Investing, 2009, v. 18, n. 4, p. 96, doi. 10.3905/JOI.2009.18.4.096
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Nexus Between Indian Financial Markets and Macro-economic Shocks: A VAR Approach.
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- Asia-Pacific Financial Markets, 2023, v. 30, n. 1, p. 131, doi. 10.1007/s10690-022-09372-w
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- Article
Do Bank Stockholders Share the Burden of Required Reserve Tax? Evidence from Turkey.
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- Emerging Markets Finance & Trade, 2013, v. 49, n. 4, p. 46, doi. 10.2753/REE1540-496X490403
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Interest Rates and the Value of Bank Equity.
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- Bank Accounting & Finance (08943958), 2007, v. 20, n. 6, p. 11
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- Article
The Impact of Financial Globalization on Financial Development in Nigeria (1981 - 2021).
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- Journal of Accounting & Management (2284-9459), 2024, v. 14, n. 1, p. 51
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Impact of Corporate Governance on the Performance of Selected Banks in Nigeria.
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- Journal of Accounting & Management (2284-9459), 2021, v. 11, n. 1, p. 189
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- Article
Behavior of Banks' Stock Market Prices during Long-Term Crises.
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- International Journal of Financial Studies, 2023, v. 11, n. 1, p. 31, doi. 10.3390/ijfs11010031
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The Effects of Business Model on Bank's Stability.
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- International Journal of Financial Studies, 2021, v. 9, n. 3, p. 46, doi. 10.3390/ijfs9030046
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Does Trading Volume Drive Systemic Banks' Stock Return Volatility? Lessons from the Greek Banking System.
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- International Journal of Financial Studies, 2021, v. 9, n. 2, p. 24, doi. 10.3390/ijfs9020024
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Fundamental analysis of banks: the use of financial statement information to screen winners from losers.
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- Review of Accounting Studies, 2018, v. 23, n. 1, p. 200, doi. 10.1007/s11142-017-9430-2
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Bank Stocks.
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- Financial Executive, 1987, v. 3, n. 2, p. 27
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- Article
An Overview of the Management of Mansonellosis.
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- Research & Reports in Tropical Medicine, 2021, v. 12, p. 93, doi. 10.2147/RRTM.S274684
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- Article
Türkiye'deki Bankaların Hisse Senedi Getirilerinde Fraktal Piyasa Hipotezinin Testi.
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- Hacettepe University Journal of Economics & Administrative Sciences / Hacettepe Üniversitesi Iktisadi ve Idari Bilimler Fakültesi Dergisi, 2022, v. 40, n. 2, p. 316, doi. 10.17065/huniibf.916008
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- Article
MERGER AND ACQUISITION ANNOUNCEMENT OF INDIAN BANKING SECTOR: A PRE-POST ANALYSIS OF STOCK MARKET REACTION.
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- Review of Finance & Banking, 2022, v. 14, n. 2, p. 89, doi. 10.24818/rfb.22.14.02.01
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Examining the Dynamics of Macroeconomic Indicators and Banking Stock Returns with Bayesian Networks.
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- Business & Economics Research Journal, 2019, v. 10, n. 4, p. 807, doi. 10.20409/berj.2019.202
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Economic Consequences of the AOCI Filter Removal for Advanced Approaches Banks.
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- Accounting Review, 2019, v. 94, n. 6, p. 309, doi. 10.2308/accr-52436
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Estimation of bank stock price parameters and the variance components model.
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- Applied Economics, 1988, v. 20, n. 4, p. 497, doi. 10.1080/00036848800000060
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Risk Tabanlı Smart Beta Stratejilerin Borsa İstanbul'da Uygulanması.
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- Journal of Management & Economics / Yönetim ve Ekonomi, 2020, v. 27, n. 2, p. 353, doi. 10.18657/yonveek.620703
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Securitized and Direct Real Estate Factors in the Pricing of US Bank Stocks.
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- International Review of Finance, 2019, v. 19, n. 4, p. 893, doi. 10.1111/irfi.12194
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Bank ownership concentration and stock price informativeness: International evidence.
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- European Financial Management, 2024, v. 30, n. 1, p. 92, doi. 10.1111/eufm.12409
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Board diversity reforms: Do they matter for EU bank performance?
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- European Financial Management, 2020, v. 26, n. 2, p. 416, doi. 10.1111/eufm.12238
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The relation between bank credit growth and the expected returns of bank stocks.
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- European Financial Management, 2018, v. 24, n. 4, p. 610, doi. 10.1111/eufm.12179
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- Article
Explaining M&A Success in European Banks.
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- European Financial Management, 2004, v. 10, n. 1, p. 109, doi. 10.1111/j.1468-036X.2004.00242.x
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- Article