Nebojsa Dimic

Nuorempi apulaisprofessori, rahoitus (tenure track)

Laskentatoimen ja rahoituksen yksikkö, Rahoitus
etunimi.sukunimi@uwasa.fi
029 449 8516
Yliopistonranta 10, 65200 Vaasa
Fabriikki F641

Teaching 2023-2024

Corporate Responsibility and Ethics in Finance

Research in Financial Markets

 

Selected publications

Dimic, N., Goodell, J. W., Piljak, V., & Vulanovic, M. (2023). Green SPACs. European Financial Management , forthcoming.

Dimic, N., Fatmy, V. & Vähämaa, S. (2023). Religiosity and corporate social responsibility: A study of firm-level adherence to Christian values and the United States. Corporate Social Responsibility and Environmental management, forthcoming.

Dimic, N., Goodell, J. W., Piljak, V., & Vulanovic, M. (2023). Acquisition determinents of Enegry SPACs: Reflecting a closed group?. Finance Research Letters, 104001.

Andreou, C., Dimic, N., Piljak, V., Savvides, A. (2021). Unconventional monetary policy and international equity capital flows to emerging markets. European Financial Management, 28, 482-509.

Dimic, N., Orlov, V., Piljak, V. (2022). First offshore bond issuances and firm valuation, International Review of Financial Analysis 83, 102246.

Dimic, N., Piljak, V., Swinkels, L., Vulanovic, M. (2021). The Structure and Degree of Dependence in Government Bond Markets. Journal of International Financial Markets, Institutions and Money 74, 101385.

Barrows, S., Blomkvist, M., Dimic, N., Vulanovic, M. (2023). Oil price uncertainty and M&A activity. The Energy Journal 44(4).

Blomkvist, M., Dimic, N., Vulanovic, M. (2023). Oil price uncertainty and IPOs The Energy Journal 44(6).

Lucey, B.M., Vigne, A.S., Ballester, L.,…Piljak, V. …Zaghini, A. (2018). Future directions in international financial integration research - A crowdsourced perspective. International Review of Financial Analysis 55, 35-49.

Dimic, N., Orlov, V. & Piljak, V. (2016). The effect of political risk on currency carry trades. Finance Research Letters 19, 75–78.

Dimic, N., Kiviaho, J., Piljak, V. & Äijö, J. (2016). Impact of financial market uncertainty and macroeconomic factors on stock-bond correlation in emerging markets. Research in International Business and Finance 36, 41–51.

Dimic, N., Orlov, V. & Piljak, V. (2015). The political risk factor in emerging, frontier, and developed stock markets. Finance Research Letters 15, 239–245.

Dimic, N. & Orlov, V. (2015). Entrepreneurial Tendencies among People with ADHD. International Review of Entrepreneurship 13, 41 – 51.

Dimic, N., Orlov, V. & Äijö, J. (2019). Bond -Equity Yield Ratio Investing in Emerging Markets. Journal of Emerging Market Finance 18, 52-79.

Dimic, N., Orlov, V. & Äijö, J. (2018). Investor Sentiment, Soccer Games and Stock Returns.  Research in International Business and Finance 43, 90-98.


Book Chapters

Baselga-Pascual, L., Dimic, N., Vähämaa, E. (2023). Corporate Social Responsibility and Bank Credit Ratings. Green Finance Instruments, FinTech, and Investment Strategies. Springer Nature 47-63.


Selected Working Papers

Dimic, N., Piljak, V., & Vulanovic, M. (2023). Sustainable Finance and Uncertainty: Evidence from Emerging and Frontier Bond Markets. Working paper

Blomkvist, M., Dimic, N., Johan, S. & Vulanovic, M. (2022).Who is entrepreneurial? Evidence from Late Bloomer Firms with M&A strategies. Working paper

Blomkvist, M., Dimic, N., Piljak, V., & Vulanovic, M. (2023). Oil Price Uncertainty and Energy SPACs. Working paper

Dimic, N., Lawrence, E. & Vulanovic, M. (2020). The determinents of IPO Withdrawals: Evidence from SPACs. Working paper

 

Resarch visits

Alliance Manchester Business School, University of Manchester, UK (2019)

School of Finance (SoF-HSG), University of St. Gallen, Switzerland (2018)

Alliance Manchester Business School, University of Manchester, UK (2016)