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Contemporary Issues in Business, Economics and Finance [Kietas viršelis]

Edited by (University of Malta, Malta), Edited by (University of Usak, Turkey), Edited by (University of Usak, Turkey)
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Drawn from papers presented at the 3rd International Applied Social Science Congress, held in April 2019 in Cesme, Izmir, Turkey, the 16 chapters in this volume address topics in business, economics, and finance. Researchers working in these and other fields in Turkey and Eastern Europe discuss volatility spillover between the conventional stock index and participation-30 index in Turkey; models for carrying out bankruptcy and risk analysis; the effects of female employment on economic growth for Organisation of Islamic Cooperation countries; volatility spillover from oil prices in precious metals under different regimes; exchange risk perception and risk management in Turkey's manufacturing firms; determining the relationship between capital adequacy, asset quality, management adequacy, earnings, liquidity, and sensitivity to market risk variables and profitability; the interaction between customer experience, satisfaction, and positive word of mouth; crowdsourcing as a new media application; the effect of motivation factors on the performance of salespeople; predictors of the job search behavior of human resources managers; taxes as a solution for climate change; community media, sustainability, and female-oriented non-governmental organizations; the European Union's fight against discrimination in sports; innovation efficiency in Eastern European and Central Asian countries using the data envelopment method; testing the overreaction hypothesis on the BIST30 Index and Dow Jones during the 2008 financial crisis; and the determinants of a bank's stability. Distributed in North America by Turpin Distribution. Annotation ©2020 Ringgold, Inc., Portland, OR (protoview.com)

Contemporary Studies in Economic and Financial Analysis (CSEF 104) dedicates 16 chapters in articles and studies on Contemporary Issues of Business Economics and Finance. Authors contributed from the International Applied Social Science Congress, held in Turkey.

This special edition of Contemporary Studies in Economics and Financial Analysis offers a selection of carefully curated chapters from invited participants in the International Applied Social Science Congress 4-6 April 2019.

In these chapters, expert authors tackle issues across a variety of economic and financial disciplines. Chapters include: the role of bankruptcy risk prediction in assuring the financial performance of Romanian industrial capitals; the effects of female employment on economic growth; perceived exchange rates and exchange rate management techniques; the European Union’s anti-discrimination laws in sport; bank stability in Latvia; and many more.

With vigorous academic rigour, the authors and editors to this volume bring to life a wide variety of economic and financial discussions, from theory to practice. For any financial or economic researcher, student, or practitioner, this is an unmissable volume of research.


This special edition of Contemporary Studies in Economics and Financial Analysis offers a selection of carefully curated chapters from invited participants in the International Applied Social Science Congress 4-6 April 2019. In these chapters, expert authors tackle issues across a variety of economic and financial disciplines. Chapters include: the role of bankruptcy risk prediction in assuring the financial performance of Romanian industrial capitals; the effects of female employment on economic growth; perceived exchange rates and exchange rate management techniques; the European Union’s anti-discrimination laws in sport; bank stability in Latvia; and many more. With vigorous academic rigour, the authors and editors to this volume bring to life a wide variety of economic and financial discussions, from theory to practice. For any financial or economic researcher, student, or practitioner, this is an unmissable volume of research.
List of Figures
vii
List of Tables
ix
About the Editors xiii
About the Contributors xvii
List of Contributors
xxv
Series Editor's Introduction xxvii
Chapter 1 Volatility Spillover between Conventional Stock Index and Participation Index: The Turkish Case
1(18)
Sezer Bozkus Kahyaoglu
Hilmi Tunahan Akkus
Chapter 2 Bankruptcy Risk Prediction in Assuring the Financial Performance of Romanian Industrial Companies
19(10)
Olimpia Livia Preda Buzgurescu
Negru Elena
Chapter 3 The Effects of Female Employment on Economic Growth: An Application of Panel Data on the Member Countries of the Organisation of Islamic Cooperation
29(16)
Nurgul Emine Barin
Sabriye Kundak
Vildan Saba Cenikli
Chapter 4 Volatility Spillover from Oil Prices to Precious Metals under Different Regimes
45(12)
Aysegiil Kirkpinar
Chapter 5 Exchange Risk Perception and Exchange Risk Management: A Regional Application in Turkey's Manufacturing Firms
57(28)
Serdar Ogel
Adem Boyukaslan
Semih Acikgozoglu
Chapter 6 Determining the Relationship between CAMLS Variables and Profitability: An Application on Banks in the BIST Bank Index
85(20)
Hasan Hixseyin Yildirim
Bahadir Ildokuz
Chapter 7 The Interaction between Customer Experience, Satisfaction and Positive Word of Mouth: A Study on City Marketing in Afyonkarahisar
105(18)
Alparslan Ozmen
Hkin Yaran Ogel
Chapter 8 The Crowdsourcing Concept as a New Media Application
123(12)
Sevil Bektas Durmus
Chapter 9 A Field Study of the Effect of Motivation Factors on Performance of the Salesperson
135(16)
Umut Eroglu
Ibrahim Kiray
Chapter 10 Job Search: Predictors of Job Search Behaviour of Human Resources Managers
151(14)
Seda Mumlu Karanfil
Chapter 11 Tax as a Solution for Climate Change
165(14)
Gamze Yildiz Seren Kurular
Chapter 12 Community Media, Sustainability and Female-Oriented NGOs: The Case in Izmir
179(14)
Asli Elgun
Chapter 13 The European Union's Fight against Discrimination in Sports
193(10)
Nihan Akincilar Koseoglu
Chapter 14 An Assessment of Innovation Efficiency in EECA Countries Using the DEA Method
203(14)
Rustem Bans Yesilay
Umut Halac
Chapter 15 Testing the Overreaction Hypothesis on the BIST30 Index and Dow Jones: The Case of the 2008 Financial Crisis Process
217(18)
Ercan Ozen
Metin Tetik
Chapter 16 The Determinants of Bank's Stability: Evidence from Latvia, A Small Post-transition Economy
235(20)
Ramona Rupeika-Apoga
Inna Romdnova
Simon Grima
Index 255
Simon Grima, Ph.D (Melit.), MSc (Lond), MSc (BCU), B.Com (Hons) (Melit.), FFA, FAIA (Acad), is the Head of the Department of Insurance, in charge of the Bachelor of Commerce in Insurance, the Bachelor of Commerce (Honours) and Masters degrees in Insurance and Risk Management and a Senior Lecturer at the University of Malta.



Ercan Özen received his BSc in Public Finance (1994), MSc in Business-Accounting (1997), PhD in Business Finance (2008) from University of Afyon Kocatepe. Now he is Associate Professor of Finance in Department of Banking and Finance, School of Applied Sciences, University of Uak, Turkey.



Hakan Boz is an Assistant Professor at Usak University, School of Applied Sciences. Prior to joining the academia, he has held various positions in the tourism and hospitality sector. He has over ten years of managerial experience in the tourism and hospitality sectors.