Miroslav Mateev
Miroslav Mateev
Abu Dhabi School of Management
Verified email at - Homepage
Cited by
Cited by
On the determinants of SME capital structure in Central and Eastern Europe: A dynamic panel analysis
M Mateev, P Poutziouris, K Ivanov
Research in international business and finance 27 (1), 28-51, 2013
Determinants of small and medium sized fast growing enterprises in central and eastern Europe: a panel data analysis
M Mateev, Y Anastasov
Financial theory and practice 34 (3), 269-295, 2010
Determinants of Foreign Direct Investment in Central and Southeastern Europe: New Empirical Tests.
M Mateev
Oxford Journal 8 (1), 2009
Is the M&A announcement effect different across Europe? More evidences from continental Europe and the UK
M Mateev
Research in International Business and Finance 40, 190-216, 2017
Competition, capital growth and risk-taking in emerging markets: Policy implications for banking sector stability during COVID-19 pandemic
M Mateev, MU Tariq, A Sahyouni
PloS one 16 (6), e0253803, 2021
Do cross-border and domestic bidding firms perform differently? New evidence from continental Europe and the UK
M Mateev, K Andonov
Research in International Business and Finance 37, 327-349, 2016
Regulation, ownership and bank performance in the MENA region: Evidence for Islamic and conventional banks
M Mateev, P Bachvarov
Emerging Markets Review 47, 100789, 2021
Determinants of FDI in France: Role of transport infrastructure, education, financial development and energy consumption
M Shahbaz, M Mateev, S Abosedra, MA Nasir, Z Jiao
International Journal of Finance & Economics 26 (1), 1351-1374, 2021
CAPM anomalies and the efficiency of stock markets in transition: Evidence from Bulgaria
MI Mateev
South-Eastern Europe Journal of Economics 2 (1), 2004
Capital regulation, competition and risk-taking: Policy implications for banking sector stability in the MENA region
M Mateev, S Moudud-Ul-Huq, A Sahyouni, MU Tariq
Research in International Business and Finance 60, 101579, 2022
Relation between credit default swap spreads and stock prices: A non-linear perspective
M Mateev, E Marinova
Journal of Economics and Finance 43 (1), 1-26, 2019
The effect of sovereign credit rating announcements on emerging bond and stock markets: new evidences
M Mateev
Oxford Journal: An International Journal of Business & Economics 7 (1), 2014
How SME uniqueness affects capital structure: Evidence from Central and Eastern Europe panel data
M Mateev, K Ivanov
Quarterly Journal of Finance & Accounting, 115-143, 2011
Bank regulation, ownership and risk taking behavior in the MENA region: policy implications for banks in emerging economies
M Mateev, A Sahyouni, MU Tariq
Review of Managerial Science 17 (1), 287-338, 2023
Volatility relation between credit default swap and stock market: new empirical tests
M Mateev
Journal of Economics and Finance 43 (4), 681-712, 2019
Do European bidders pay more in cross-border than in domestic acquisitions? New evidence from Continental Europe and the UK
M Mateev, K Andonov
Research in International Business and Finance 45, 529-556, 2018
Do Central and Eastern European Countries Posses FDI Advantages to More Developed Western Countries?
M Mateev, I Tsekov
Available at SSRN 2139361, 2012
On the growth of micro, small and medium-sized firms in central and Eastern Europe: a dynamic panel analysis
M Mateev, Y Anastasov
Banking and Finance Review 3 (2), 81-104, 2011
Multifactor asset pricing model and stock market in transition: New empirical tests
M Mateev, A Videv
Eastern Economic Journal 34, 223-237, 2008
The effects of bank competition, financial stability and ownership structure: Evidence from the Middle East and North African (MENA) countries
S Moudud-Ul-Huq, T Biswas, M Abdul Halim, M Mateev, I Yousaf, ...
International Journal of Islamic and Middle Eastern Finance and Management …, 2022
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