
saban_ch@enu.kz
Магистратура (научно-педагогическое направление):
2024:- - Стратегии институтов финансового рынка
- - Регулирование рисков деятельности институтов финансовых рынков
- - Современные концепции финансового риск-менеджмента
Докторантура PhD:
2025:- - Методы и модели в финансовых исследованиях
- - Финансовая стабильность: методы оценки
1. Country-of-origin effects on technology transfer in foreign direct investment.
Journal of International Trade and Economic Development. 2024
2. Do foreign direct investments influence environmental degradation? Evidence from a panel autoregressive distributed lag model approach to low-, lower-middle-, upper-middle-, and high-income countries.
Environmental Science and Pollution Research. 2022
3. Firm dynamics and bankruptcy processes: A new theoretical model.
Journal of Forecasting. 2022
4. The interdependence between stock market development and economic growth: A multi-country examination.
Zbornik Radova Ekonomskog Fakulteta U Rijeci Proceedings of Rijeka Faculty of Economics. 2020
5. The impact of credit ratings on capital structure.
Isra International Journal of Islamic Finance. 2019
6. Corporate governance and performance.
Corporate Governance Models and Applications in Developing Economies. 2019
7. The impact of a recent natural disaster on the Japanese financial markets: Empirical evidence.
Journal of Competitiveness. 2018
8. Corporate governance and performance of the financial firms in Bahrain.
Polish Journal of Management Studies. 2018
9. Linkage between company scores and stock returns.
Journal of International Studies. 2017
10. The linkages among intellectual capital, corporate governance and corporate social responsibility.
Corporate Governance Bingley. 2015
11. The Characteristics of bank common stocks within the framework of Capital Asset Pricing Model: Evidence from Turkey.
Investment Management and Financial Innovations. 2014
12. Theoretical and empirical review of asset pricing models: A structural synthesis.
International Journal of Economics and Financial Issues. 2012
13. The impact of domestic and foreign macroeconomic news on stock market volatility: Istanbul stock exchange.
Bogazici Journal. 2011
14. Risk & return relationship in the portfolio of banks' common stocks nyse versus ISE.
European Journal of Scientific Research. 2007
