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Nebojsa Dimic
Nebojsa Dimic
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År
The political risk factor in emerging, frontier, and developed stock markets
N Dimic, V Orlov, V Piljak
Finance Research Letters 15, 239-245, 2015
1382015
Impact of financial market uncertainty and macroeconomic factors on stock–bond correlation in emerging markets
N Dimic, J Kiviaho, V Piljak, J Äijö
Research in International Business and Finance 36, 41-51, 2016
1232016
Entrepreneurial tendencies among people with ADHD
N Dimic, V Orlov
International Review of Entrepreneurship 13 (3), 187-204, 2014
642014
Future directions in international financial integration research-A crowdsourced perspective
BM Lucey, SA Vigne, L Ballester, L Barbopoulos, J Brzeszczynski, ...
International Review of Financial Analysis 55, 35-49, 2018
582018
Investor sentiment, soccer games and stock returns
N Dimic, M Neudl, V Orlov, J Äijö
Research in International Business and Finance 43, 90-98, 2018
402018
The effect of political risk on currency carry trades
N Dimic, V Orlov, V Piljak
Finance Research Letters 19, 75-78, 2016
272016
Green SPACs
N Dimic, JW Goodell, V Piljak, M Vulanovic
European Financial Management 30 (2), 770-799, 2024
122024
The structure and degree of dependence in government bond markets
N Dimic, V Piljak, L Swinkels, M Vulanovic
Journal of International Financial Markets, Institutions and Money 74, 101385, 2021
92021
The determinants of IPO withdrawals: Evidence from SPACs
N Dimic, ER Lawrence, M Vulanovic
Available at SSRN 3538671, 2020
92020
Religiosity and corporate social responsibility: A study of firm‐level adherence to Christian values in the United States
N Dimic, V Fatmy, S Vähämaa
Corporate Social Responsibility and Environmental Management 31 (1), 396-413, 2024
8*2024
Oil price uncertainty and M&A activity
SD Barrows, M Blomkvist, N Dimic, M Vulanovic
The Energy Journal 44 (4), 1-20, 2023
82023
Unconventional monetary policy and international equity capital flows to emerging markets
CK Andreou, N Dimic, V Piljak, A Savvides
European Financial Management 28 (2), 482-509, 2022
62022
Oil price uncertainty and IPOs
M Blomkvist, N Dimic, M Vulanovic
The Energy Journal 44 (6), 21-42, 2023
42023
Acquisition determinants of energy SPACs: Reflecting a closed group?
N Dimic, JW Goodell, V Piljak, M Vulanovic
Finance Research Letters 55, 104001, 2023
42023
First offshore bond issuances and firm valuation
N Dimic, V Orlov, V Piljak
International Review of Financial Analysis 83, 102246, 2022
32022
Media-based climate risks and international corporate bond market
R Benkraiem, N Dimic, V Piljak, L Swinkels, M Vulanovic
Journal of International Money and Finance 151, 103260, 2025
22025
Corporate social responsibility and bank credit ratings
L Baselga-Pascual, N Dimic, E Vähämaa
Green Finance Instruments, FinTech, and Investment Strategies: Sustainable …, 2023
22023
Product Market Uncertainty and M&A Activity: Evidence from the Oil and Gas Sector
SD Barrows, M Blomkvist, N Dimic, M Vulanovic
SSRN, 2020
12020
The Effect of Political Risk on Currency Carry Trades
V Orlov, N Dimic, V Piljak
Available at SSRN 2735841, 2016
12016
Carbon VIX: A case of decarbonized SPACs
N Dimic, MH Tinoco, V Piljak, M Vulanovic
Finance Research Letters 70, 106360, 2024
2024
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Artikler 1–20