Gonenc, H., Jansen, F., Tinoco, M.H., & Vulanovic, M. (2024). The impact of credit reforms on bank loans and firm leverage around the world. European Financial Management, 30(5), 2449-2502.
Bessler, W. , Gonenc, H., & Tinoco, M.H. (2023). Information asymmetry, agency costs, and payout policies: An international analysis of IFRS adoption and the global financial crisis. Economic Systems, 47(4), 101129.
Gonenc, H., Hermes, N., & , Rehman, A. (2023). Carbon disclosure policy, external financing needs and the cost of capital: Does financial market quality matter? Business Strategy and the Environment, 32(8), 5854-5872.
Rehman, A., Gonenc, H., & Hermes, N. (2023). Corporate social performance of family firms and shareholder protection: An international analysis. Journal of Family Business Strategy, 14(2), 100550.
Gonenc, H., & Antonina, V. (2022). Board gender diversity and voluntary carbon emission disclosure. Sustainability, 14(21), 14418.
Gonenc, H., & Poleska, A. (2022). Multinationals, research and development, and carbon emissions: International evidence. Climate Policy, 23(8), 959-974.
Gonenc, H., Polten, M. O., & Westerman, W. (2022). U.S., Anglo-Saxon European, and non-Anglo-Saxon European cash holdings around the financial crisis. Global Finance Journal, 52, 100712.
Seifert, B., & Gonenc, H. (2022). Effect of acquisitions on R&D intensity: international evidence. European Journal of International Management, accepted for publication.
Benetyte, R., Gonenc, H., & Krusinskas, R. (2021), Corporate governance vs. financial performance for intensity of innovation investments. Sustainability, 13(9), 13 p., 5014.
Burunciuc, C., & Gonenc H. (2021). Reforms protecting minority shareholders and firm performance: International evidence. Journal of Risk and Financial Management, 14(1), 5.
Gonenc, H., & Scholtens, B. (2019). Responsibility and performance relationship in the banking industry. Sustainability, 11(12), 3329.
Seifert, B., & Gonenc, H. (2018). The effects of country and firm-level governance on cash management. Journal of International Financial Markets, Institutions & Money, 52(January), 1-16.
Gonenc, H., & Ursu, S. (2018). The asset growth effect and investor protection in emerging markets: The role of the global financial crisis. Emerging Markets Finance and Trade, 54(3), 491-507.
Gonenc, H., & Scholtens, B. (2017). Environmental and financial performance of fossil fuel firms: A closer inspection of their interaction. Ecological Economics, 132(February), 307-328.
Fernandes, N. O., & Gonenc, H. (2016). Multinationals and cash holdings. Journal of Corporate Finance, 39(August), 139-154.
De Cesari, A., Gonenc, H., & Ozkan, N. (2016). The effects of corporate acquisitions on CEO compensation and CEO turnover of family firms. Journal of Corporate Finance, 38(June), 294-317.
Seifert, B., & Gonenc, H. (2016). Creditor rights, country governance, and corporate cash holdings. Journal of International Financial Management and Accounting, 27(1), 65-90.
Seifert, B., & Gonenc, H. (2015). Channels of cash savings: international evidence. Review of Behavioral Finance, 7(2), 134-150.
Doukas, J., Gonenc, H., & Plantinga, A. (2014). Private acquisition gains: A contingent claims explanation. European Journal of Finance, 20(12), 1090-1113.
Gonenc, H., & de Haan, D. J. (2014). Firm internationalization and capital structure in developing countries: The role of financial development. Emerging Markets Finance and Trade, 50(2), 169-189.
Gonenc, H., Hermes, N., & van Sinderen, E. (2013). Bidders' gains and family control of private target firms. International Business Review, 22(5), 856-867.
Croci, E., Gonenc, H., & Ozkan, N. (2012). CEO compensation, family control, and institutional investors in Continental Europe. Journal of Banking & Finance, 36(12), 3318-3335.
Seifert, B., & Gonenc, H. (2012). Creditor rights and R&D expenditures. Corporate Governance - An International Review, 20(1), 3 - 20.
Seifert, B., & Gonenc, H. (2012). Issuing and repurchasing: The influence of mispricing, corporate lifecycle and financing waves. Journal of Multinational Financial Management, 22(3), 66 - 81.
Croci, E., Doukas, J. A., & Gonenc, H. (2011). Family control and financing decisions. European Financial Management, 17(5), 860-897.
Seifert, B., & Gonenc, H. (2010). Pecking order behavior in emerging markets. Journal of International Financial Management & Accounting, 21(1), 1-31.
Gonenc, H. (2009). How do business group firms utilize internal capital markets? International Journal of Managerial Finance, 5(4), 360 - 375.
Seifert, B., & Gonenc, H. (2008). The international evidence on the pecking order hypothesis. Journal of Multinational Financial Management, 18(3), 244 - 260.
Gonenc, H., & Hermes, C. L. M. (2008). Propping: Evidence from new share issues of Turkish business group firms. Journal of Multinational Financial Management, 18(3), 261 - 276.
Gonenc, H., Kan, O. B., & Karadagli, E. C. (2007). Business groups and internal capital markets. Emerging Markets Finance and Trade, 43(2), 63-81.
Gonenc, H., & Aybar, C. B. (2006). Financial crisis and firm performance: Empirical evidence from Turkey. Corporate Governance - An International Review, 14(4), 295-309.
Doukas, J., & Gonenc, H. (2005). Long-term performance of new equity issuers: Venture capital and reputation of investment bankers. Economic Notes, 34(1), 1-34.
Gonenc, H. (2005). Comparison of debt financing between international and domestic firms: Evidence from Turkey, Germany and U.K. International Journal of Managerial Finance, 1(1), 49-70.
Seifert, B., & Gonenc, H., & Wright, J. (2005). The international evidence on performance and equity ownership by insiders, blockholders, and institutions. Journal of Multinational Financial Management, 15(2), 171-191.
Gonenc, H., & Karan, M.B. (2003). Do value stocks earn higher than growth stocks in an emerging market: Evidence from Istanbul Stock Exchange. Journal of International Financial Management and Accounting, 14(1), 1-25.
Akkaya, G., Gonenc, H., & Koyuncu, O. (2003). Balance sheet exchange rate exposure, investment and firm value: Evidence from Turkish firms. T.C. Central Bank Review, 3(2), 1-26.
Arslan, O., & Gonenc, H. (2003). Capital structure of Turkish domestic and international reel sector firms. Istanbul Stock Exchange Review, 7(25-26), 41-64.
Gonenc, H., & Duthler, E. (2024). The development of financial markets and the impact of credit reforms on the relationship between asset tangibility and firm cash holdings. Chapter 30078, in Encyclopedia of Monetary Policy, Financial Markets and Banking, Elsevier.
Gonenc, H., & Kartal, D. (2024).The Impact of Executive Pay Gap on Environmental and Social Performance in the Energy Sector: Worldwide Evidence, In The ESG Framework and the Energy Industry, the series of books by the Centre for Energy and Value Issues (CEVI). (pp. 241–263). Springer.
Gonenc, H., Lebediev, O., & Westerman, W. (2020). The financing decision of oil and gas companies: The role of country level shareholder protection. In Regulations in the Energy Industry: Financial, Economic and Legal Implications (pp. 125-145). Springer.
Gonenc, H., & Zengin Karaibrahimoglu, Y. (2019). Towards a mandatory corporate governance regime: Evidence from Turkey. In Ethics & Sustainability in Accounting & Finance, Volume I. (pp. 183-202). Springer.
Gonenc, H., & Yurukova, N. (2014). Corporate financing and investment decisions in the renewable energy sector. In Perspectives on Energy Risk, the third series of books by the Centre for Energy and Value Issues (CEVI). (pp. 183-202). Springer.
Bruggeman, J. P., & Gonenc, H. (2013). Emissions trading and stock returns: Evidence from the European steel and combustion industries. In Energy: Energy economics and financial markets, the second series of books by the Centre for Energy and Value Issues (CEVI). (pp. 107 - 125). Springer.
Gonenc, H., & Leisink, K. (2012). The role of private equity in private acquisitions. In D. Cumming (Ed.), Oxford handbook of private equity. (pp. 469 - 494). Oxford: Oxford University Press.
Gonenc, H. (2012). International evidence on financing of R&D. In I. H. Yetkiner, M. T. Pamukcu, & E. Erdil (Eds.), Industrial dynamics, innovation policy and economic growth through technological advancements. (pp. 53 - 74). IGI Global.
Gonenc, H. (2006). Ownership concentration and corporate performance: A simultaneous equation framework for Turkish companies. In S. Altug, & A. Filiztekin (Eds.), The Turkish economy. The real economy, corporate governance, and reform. (pp. 199 - 215). London: Routledge.
Snijders, B., Gonenc, H., & Westerman, W. (2009). On dividends and share return: Dividend cuts help in crisis outbreaks. Journal of Corporate Treasury Management, 3(1), 8 - 10.
Gonenc, H., Schorer, F., & Appel, W. P. F. (2007). Credit default swap spread and succession events. Journal of Financial Regulation and Compliance, 15(4), 450 - 463.
Gonenc, H. (2003). Capital structure under micro institutional settings: The case of Turkey. Journal of Emerging Market Finance, 3(1), 30-45.