Evolution of Financial Markets VI

Mehmet Fatih Buğan (ed)
Gaziantep University
https://orcid.org/0000-0001-9027-9532
Emre Çevik (ed)
Kırklareli University
https://orcid.org/0000-0002-2012-9886

Synopsis

Evolution of Financial Markets VI offers a comprehensive examination of how financial markets respond to macroeconomic announcements, global risk perceptions, and investor behavior from both theoretical and empirical perspectives. The volume analyzes the effects of inflation and trade balance announcements on market efficiency, the interaction between global uncertainty indicators and local stock markets, and volatility spillovers among financial assets.

In addition, the book investigates the role of disclosure in IPO pricing, the impact of confidence and risk perceptions on index performance, and exchange rate–stock market dynamics in emerging economies using advanced econometric techniques. By presenting up-to-date empirical evidence, the book contributes to the financial economics literature while providing valuable insights for researchers, practitioners, and policymakers.

How to cite this book

Buğan, M. F. & Çevik, E. (eds.) (2025). Evolution of Financial Markets VI. Özgür Publications. DOI: https://doi.org/10.58830/ozgur.pub1111

License

Published

December 29, 2025

ISBN

PDF
978-625-8554-71-7

DOI

Statistics

Views
99
Downloads
72