Takip et
Izidin El Kalak
Izidin El Kalak
Associate Professor in Finance; Cardiff Business School
cardiff.ac.uk üzerinde doğrulanmış e-posta adresine sahip - Ana Sayfa
Başlık
Alıntı yapanlar
Alıntı yapanlar
Yıl
The effect of size on the failure probabilities of SMEs: An empirical study on the US market using discrete hazard model
I El Kalak, R Hudson
International Review of Financial Analysis 43, 135-145, 2016
1342016
Non-standard errors
AJ Menkveld, A Dreber, F Holzmeister, J Huber, M Johannesson, ...
Journal of Finance 79 (3), 2339-2390, 2024
932024
The effects of ownership structure, sub-optimal cash holdings and investment inefficiency on dividend policy: evidence from Indonesia
A Moin, Y Guney, I El Kalak
Review of Quantitative Finance and Accounting 55, 857-900, 2020
562020
The effect of the feed-in-system policy on renewable energy investments: Evidence from the EU countries
M Alolo, A Azevedo, I El Kalak
Energy Economics, 104998, 2020
462020
How female directors help firms to attain optimal cash holdings
OK Tosun, I El Kalak, R Hudson
International Review of Financial Analysis, 102034, 2022
41*2022
Reviewing the hedge funds literature II: Hedge funds' returns and risk management characteristics
I El Kalak, A Azevedo, R Hudson
International Review of Financial Analysis 48, 55-66, 2016
172016
In search of stock repurchases determinants in listed Indonesian firms during regulatory changes
A Moin, Y Guney, I El Kalak
Journal of Economic Behavior & Organization 176, 145-165, 2020
162020
Stock liquidity and SMEs’ likelihood of bankruptcy: Evidence from the US market
I El Kalak, A Azevedo, R Hudson, MA Karim
Research in International Business and Finance 42, 1383-1393, 2017
142017
CEO Overconfidence and the Speed of Adjustment of Cash Holdings
I El Kalak, M Goergen, Y Guney
The European Journal of Finance, 2024
132024
ETF Ownership and Corporate Cash Holdings
I El Kalak, OK Tosun
European Financial Management, 2022
122022
Reviewing the hedge funds literature I: Hedge funds and hedge funds' managerial characteristics
I El Kalak, A Azevedo, R Hudson
International Review of Financial Analysis 48, 85-97, 2016
102016
The Bank of Japan’s Equity Purchases and Stock Illiquidity
I El Kalak, WS Leung, H Takahashi, K Yamada
Journal of Financial Markets, 2022
72022
The decline of bank ownership and firm’s capital structure: evidence from Japanese business groups
IE Kalak, K Mazouz, K Yamada
Applied Economics, 1-17, 2024
5*2024
The timing of voluntary delisting
A Azevedo, G Colak, I El Kalak, R Tunaru
Journal of Financial Economics 155, 103832, 2024
52024
The Bank of Japan’s equity purchases and stock price crash risk
I El Kalak, OK Tosun, K Yamada
Economics Letters 229, 111214, 2023
22023
Engaged ETFs and firm performance
I El Kalak, R Hudson, KO Tosun
European Financial Management 30 (3), 2024
2024
Sistem, işlemi şu anda gerçekleştiremiyor. Daha sonra yeniden deneyin.
Makaleler 1–16