Political uncertainty and IPO activity: Evidence from US gubernatorial elections G Çolak, A Durnev, Y Qian Journal of Financial and Quantitative Analysis 52 (6), 2523-2564, 2017 | 454 | 2017 |
Cycles in the IPO market C Yung, G Çolak, W Wang Journal of Financial Economics 89 (1), 192-208, 2008 | 305 | 2008 |
The impact of COVID-19 pandemic on bank lending around the world G Ҫolak, Ö Öztekin Journal of Banking & Finance 133, 106207, 2021 | 242 | 2021 |
Spin-offs, divestitures, and conglomerate investment G Çolak, TM Whited The Review of Financial Studies 20 (3), 557-595, 2007 | 235 | 2007 |
Global leverage adjustments, uncertainty, and country institutional strength G Çolak, A Gungoraydinoglu, Ö Öztekin Journal of Financial Intermediation 35, 41-56, 2018 | 126 | 2018 |
Political environment, financial intermediation costs, and financing patterns A Gungoraydinoglu, G Çolak, Ö Öztekin Journal of Corporate Finance 44, 167-192, 2017 | 114 | 2017 |
Diversification, refocusing and firm value G Çolak European Financial Management 16 (3), 422-448, 2010 | 101 | 2010 |
Investor relations and IPO performance S Chahine, G Colak, I Hasan, M Mazboudi Review of Accounting Studies 25, 474-512, 2020 | 89 | 2020 |
Changes in cash holdings around the S&P 500 additions ER Brisker, G Çolak, DR Peterson Journal of Banking & Finance 37 (5), 1787-1807, 2013 | 72 | 2013 |
Strategic waiting in the IPO markets G Çolak, H Günay Journal of Corporate Finance 17 (3), 555-583, 2011 | 66 | 2011 |
Primary market characteristics and secondary market frictions of stocks R Boehme, G Çolak Journal of Financial Markets 15 (2), 286-327, 2012 | 45* | 2012 |
Economic uncertainty and corruption: Evidence from public and private firms M Afzali, G Ҫolak, M Fu Journal of Financial Stability 57, 100936, 2021 | 25 | 2021 |
Executive compensation structure and the motivations for seasoned equity offerings ER Brisker, G Colak, DR Peterson Journal of Banking & Finance 40, 330-345, 2014 | 25 | 2014 |
Lean against the wind: The effect of policy uncertainty on a firm's corporate social responsibility strategy D Peng, G Colak, J Shen Journal of Corporate Finance 79, 102376, 2023 | 24 | 2023 |
CEO mobility and corporate policy risk G Çolak, T Korkeamäki Journal of Corporate Finance 69, 102037, 2021 | 23* | 2021 |
Political power, local policy uncertainty and IPO pricing G Colak, D Gounopoulos, P Loukopoulos, G Loukopoulos Journal of Corporate Finance 67, 101907, 2021 | 21 | 2021 |
ESG and CEO turnover around the world G Colak, TP Korkeamäki, NO Meyer Journal of Corporate Finance 84, 102523, 2024 | 19* | 2024 |
Why are some Chinese firms failing in the US capital markets? A machine learning approach G Colak, M Fu, I Hasan Pacific-Basin Finance Journal 61, 101331, 2020 | 14 | 2020 |
Tournament incentives and IPO failure risk G Colak, D Gounopoulos, P Loukopoulos, G Loukopoulos Journal of Banking & Finance 130, 106193, 2021 | 11 | 2021 |
Comovements in Corporate Waves and the Monetary Policy G Colak, I Hasan, N Tekatli Available at SSRN 3756088, 2020 | 11* | 2020 |