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Vanja Piljak
Vanja Piljak
Associate Professor of Finance, University of Vaasa, Finland
Η διεύθυνση ηλεκτρονικού ταχυδρομείου έχει επαληθευτεί στον τομέα uwasa.fi - Αρχική σελίδα
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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
The co‐movement dynamics of European frontier stock markets
J Kiviaho, J Nikkinen, V Piljak, T Rothovius
European Financial Management 20 (3), 574-595, 2014
1312014
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
Bond markets co-movement dynamics and macroeconomic factors: Evidence from emerging and frontier markets
V Piljak
Emerging Markets Review 17, 29-43, 2013
1082013
Baltic stock markets and the financial crisis of 2008–2009
J Nikkinen, V Piljak, J Äijö
Research in International Business and Finance 26 (3), 398-409, 2012
892012
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
Global economic activity as an explicator of emerging market equity returns
M Graham, J Peltomäki, V Piljak
Research in International Business and Finance 36, 424-435, 2016
442016
Financial development, government bond returns, and stability: International evidence
S Boubaker, DK Nguyen, V Piljak, A Savvides
Journal of International Financial Markets, Institutions and Money 61, 81-96, 2019
342019
The effect of political risk on currency carry trades
N Dimic, V Orlov, V Piljak
Finance Research Letters 19, 75-78, 2016
272016
Frontier and emerging government bond markets
V Piljak, L Swinkels
Emerging Markets Review 30, 232-255, 2017
262017
Impact of the 2008–2009 financial crisis on the external and internal linkages of European frontier stock markets
J Nikkinen, V Piljak, T Rothovius
Global Finance Journal 46, 100481, 2020
192020
Frequency volatility connectedness across different industries in China
J Jiang, V Piljak, AK Tiwari, J Äijö
Finance research letters 37, 101376, 2020
182020
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
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
Subsidiary Financing Choices: The Roles of Institutional Distances from Home Countries
Y Du, J Goodell, V Piljak, M Vulanovic
International Review of FInancial Analysis 83 (102280), 2022
62022
Fundamental indexation for developed, emerging, and frontier government bond markets
V Piljak, L Swinkels
Journal of Asset Management 18 (5), 405-420, 2017
62017
Acquisition determinants of Energy SPACs: Reflecting a closed group?
MV Nebojsa Dimic, John W. Goodell, Vanja Piljak
Finance Research Letters 104001, 2023
42023
Essays on the co-movement dynamics of frontier/emerging and developed financial markets
V Piljak
Vaasan yliopisto, 2013
42013
First offshore bond issuances and firm valuation
N Dimic, V Orlov, V Piljak
International Review of FInancial Analysis 83 (102246), 2022
32022
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