Refereed Publications
Foreign investment screening and cross-border M&A in sensitive sectors: Evidence from Germany, (with Mehdi Mostowfi and Sugandhita Sugandhita)
Finance Research Letters, 2026, vol 92, 109525
Do pre-market notifications and stock volatility trigger circuit breakers? Evidence from Turkish post-IPO stocks, (with Ciydem Catak)
Finance Research Letters, 2025, vol 81, 107509
Determinants of impact investments: Evidence from portfolio-level data, (with Tomasz Orpizewski)
Journal of Sustainable Finance and Accounting, 2025, vol 6, 100018
Economic Modelling, 2024, vol 141, 106896
The nexus between inflation and financial integration in the euro area, (with Mustafa Demirel)
Applied Economics Letters, 2024, 1-5
Determinants and consequences of SME insolvency risk during the pandemic,
Economic Modelling, 2022, vol 115, 105958
Low volatility Strategies for highly liquid cryptocurrencies, (with Mehdi Mostowfi)
Finance Research Letters, 2022, vol 46, 102422
SME financing and securitization: Firm-level evidence from the euro area, (with Oliver Masetti)
Economic Inquiry, 2019, vol 57, pp 391-409
The role of bank lending tightening on corporate bond issuance in the eurozone, (with Lulu Wang)
Quarterly Review of Economics and Finance, 2016, vol 60, pp.1-11, Lead Article
Impacts of the financial crisis on eurozone sovereign CDS spreads, (with Yalin Gunduz)
Journal of International Money and Finance, 2014, Vol. 49, pp. 425-442
Is perceived financial inadequacy persistent?,
Review of Income and Wealth, 2014, Vol. 60, pp. 636-654