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Details about Ali Kutan
Access statistics for papers by Ali Kutan.
Last updated 2007-11-28. Update your information in the RePEc Author Service.
Short-id: pku30
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Working Papers
2005
- Pilgrims to Eurozone: How Far, How Fast
Departmental Working Papers, Bilkent University, Department of Economics View citations
2004
- Convergence of Candidate Countries to the European Union
Departmental Working Papers, Bilkent University, Department of Economics View citations
- Creditor Moral Hazard in Equity Markets: A Theoretical Framework and Evidence from Indonesia and Korea
William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan Stephen M. Ross Business School View citations
- European Integration, Productivity Growth and Real Convergence
Departmental Working Papers, Bilkent University, Department of Economics  See Also Journal Article in European Economic Review (2007)
- Testing Creditor Moral Hazard in Sovereign Bond Markets: A Unified Theoretical Approach and Empirical Evidence
William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan Stephen M. Ross Business School
- The Impact of News, Oil Prices, and Global Market Developments on Russian Financial Markets
Finance, EconWPA 
Also in
William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan Stephen M. Ross Business School (2004)  See Also Journal Article in The Economics of Transition (2005)
- Volatile Interest Rates, Volatile Crime Rates: A new argument for interest-rate smoothing
William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan Stephen M. Ross Business School
- Worsening of the Asian Financial Crisis: Who is to Blame?
William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan Stephen M. Ross Business School View citations
2002
- Balkan and Mediterranean Candidates for European Union Membership: The Convergence of their Monetary Policy with that of the European Central Bank
William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan Stephen M. Ross Business School View citations See Also Journal Article in Eastern European Economics (2002)
- Integration of the Baltic States into the EU and Institutions of Fiscal Convergence
BOFIT Discussion Papers, Bank of Finland, Institute for Economies in Transition View citations
- Real and Monetary Convergence within the European Union and Between the European Union and Candidate Countries: A Rolling Cointegration Approach
William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan Stephen M. Ross Business School View citations
- The End of Moderate Inflation in Three Transition Economies?
William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan Stephen M. Ross Business School View citations
Also in
William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan Stephen M. Ross Business School (1999) View citations
- The Impact of News, Oil Prices, and International Spillovers on Russian Financial Markets
Finance, EconWPA
2001
- Investor Panic, IMF Actions, and Emerging Stock Market Returns and Volatility
International Finance, EconWPA
1998
- Sources of real and nominal exchange rate fluctuations in transition economies
Working Papers, Federal Reserve Bank of St. Louis View citations
- The persistence of moderate inflation in the Czech Republic and the Koruna crisis of May 1997
Working Papers, Federal Reserve Bank of St. Louis
Journal Articles
2007
- A Century of Purchasing Power Parity: Further Evidence
Economics Bulletin, 2007, 6, (31), 1-9
- Contagion or Real Linkages? Some Evidence from China's Emerging Parallel Markets
China & World Economy, 2007, 15, (4), 52-65
- European integration, productivity growth and real convergence
European Economic Review, 2007, 51, (6), 1370-1395  See Also Working Paper (2004)
- IMF-related announcements and stock market returns: Evidence from financial and non-financial sectors in Indonesia, Korea, and Thailand
Pacific-Basin Finance Journal, 2007, 15, (1), 80-104
- Testing PPP in the non-linear STAR framework
Economics Letters, 2007, 94, (1), 104-110 View citations
2006
- Creditor moral hazard in stock markets: Empirical evidence from Indonesia and Korea
Journal of International Money and Finance, 2006, 25, (4), 640-654
- Determinants of returns and volatility of Chinese ADRs at NYSE
Journal of Multinational Financial Management, 2006, 16, (1), 1-15
- Does herding behavior exist in Chinese stock markets?
Journal of International Financial Markets, Institutions and Money, 2006, 16, (2), 123-142
- Editor's Introduction
Emerging Markets Finance and Trade, 2006, 42, (1), 3-4
- Monetary convergence to the Euro
Economic Systems, 2006, 30, (4), 307-310
- Pilgrims to the Eurozone: How far, how fast?
Economic Systems, 2006, 30, (4), 311-327 View citations
- The effects of transition and political instability on foreign direct investment inflows
The Economics of Transition, 2006, 14, (4), 649-680 View citations
2005
- Does the forward premium anomaly depend on the sample period used or on the sign of the premium?
International Review of Economics & Finance, 2005, 14, (1), 17-25
- Editor's Introduction
Emerging Markets Finance and Trade, 2005, 41, (2), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2005, 41, (4), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2005, 41, (3), 3-4
- Editorial introduction: Is the World Bank lending effective in developing countries?
Economic Systems, 2005, 29, (4), 363-365
- Exchange-rate economics in transition countries
Economic Systems, 2005, 29, (2), 123-129
- Explaining the real exchange rate in Kazakhstan, 1996-2003: Is Kazakhstan vulnerable to the Dutch disease?
Economic Systems, 2005, 29, (2), 242-255
- IMF-Supported Programmes in Transition Economies: Are They Effective?
Comparative Economic Studies, 2005, 47, (1), 23-40
- IMF-related news and emerging financial markets
Journal of International Money and Finance, 2005, 24, (7), 1126-1142 View citations
- Information flows within and across sectors in Chinese stock markets
The Quarterly Review of Economics and Finance, 2005, 45, (4-5), 767-780
- Introduction to Special Issue: Symposium Part II
Comparative Economic Studies, 2005, 47, (1), 1-3
- Real and monetary convergence between the European Union's core and recent member countries: A rolling cointegration approach
Journal of Banking & Finance, 2005, 29, (1), 249-270 View citations
- Real and nominal stochastic convergence: Are the new EU members ready to join the Euro zone?
Journal of Comparative Economics, 2005, 33, (2), 387-400 View citations
- The impact of news, oil prices, and global market developments on Russian financial markets
The Economics of Transition, 2005, 13, (2), 373-393 View citations See Also Working Paper (2004)
- Why Do Financial Markets Move Together?: An Investigation of Greek and Turkish Markets
Eastern European Economics, 2005, 43, (4), 5-26
2004
- Editor's Introduction
Emerging Markets Finance and Trade, 2004, 40, (2), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2004, 40, (4), 3-4
- Exchange Rate Management Strategies in the Accession Countries: The Case of Hungary
Comparative Economic Studies, 2004, 46, (1), 23-44 View citations
- IMF Conditionality and Programme Ownership in Developing and Emerging Economies – Implementation and Research Agenda: An Introduction to Special Issue: Symposium Part I
Comparative Economic Studies, 2004, 46, (3), 371-372
- Introduction to the symposium
Comparative Economic Studies, 2004, 46, (1), 1-3
- Nominal and real stochastic convergence of transition economies
Journal of Comparative Economics, 2004, 32, (1), 23-36 View citations
2003
- Editor's Introduction
Emerging Markets Finance and Trade, 2003, 39, (6), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2003, 39, (3), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2003, 39, (5), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2003, 39, (4), 3-4
- FINANCIAL INNOVATION AND THE DEMAND FOR MONEY: EVIDENCE FROM THE PHILIPPINES
International Economic Journal, 2003, 17, (1), 17-27 View citations
- Has the Link Between the Spot and Forward Exchange Rates Broken Down? Evidence from Rolling Cointegration Tests
Open Economies Review, 2003, 14, (4), 369-379
- Inflation and output as predictors of stock returns and volatility: international evidence
Applied Financial Economics, 2003, 13, (9), 693-700 View citations
- Investor reaction to IMF actions in the indonesian financial crisis
Journal of Policy Reform, 2003, 6, (3), 181-190
- Public Information Arrival and the Fisher Effect in Emerging Markets: Evidence from Stock and Bond Markets in Turkey
Journal of Financial Services Research, 2003, 23, (3), 225-239 View citations
2002
- Balkan and Mediterranean Candidates for European Union Membership: The Convergence of Their Monetary Policy with That of the European Central Bank
Eastern European Economics, 2002, 40, (4), 31-44 View citations See Also Working Paper (2002)
- Is public information really irrelevant in explaining asset returns?
Economics Letters, 2002, 76, (2), 223-229 View citations
2001
- Sources of Real Exchange Rate Fluctuations in Transition Economies: The Case of Poland and Hungary
Journal of Comparative Economics, 2001, 29, (2), 257-275 View citations
- The convergence of monetary policy between candidate countries and the European Union
Economic Systems, 2001, 25, (3), 215-231 View citations
2000
- The evolution of monetary policy in transition economies
Review, 2000, (Mar), 31-40 View citations
1998
- S. Togan and V. N. Balasubramanyam (Eds.), The Economy of Turkey since Liberalization
Journal of Comparative Economics, 1998, 26, (3), 583-586
1997
- Linkage in EMS term structures: evidence from common trend and transitory components
Journal of International Money and Finance, 1997, 16, (4), 595-607 View citations
- More Evidence on the Money-Output Relationship
Economic Inquiry, 1997, 35, (1), 48-58 View citations
1996
- International economics: By Parviz Asheghian
The North American Journal of Economics and Finance, 1996, 7, (1), 109-110
- Which Single Currency for Western Europe?
Review of International Economics, 1996, 4, (2), 247-55
1995
- Sociopolitical instability, volatility, and the bid-ask spread: Evidence from the free market for dollars in Poland
Open Economies Review, 1995, 6, (3), 225-236
1994
- A Long-Run View of German Dominance and the Degree of Policy Convergence in the EMS
Economic Inquiry, 1994, 32, (4), 684-95 View citations
1993
- China's Exchange Rate and the Balance of Trade
Economic Change and Restructuring, 1993, 26, (3), 229-42 View citations
- Further Evidence on Money, Output, and Prices in China
Journal of Comparative Economics, 1993, 17, (3), 701-709 View citations
- Political Turmoil and Financial Market Behaviour in Reforming Market-Oriented Economies: The Case of Poland
Applied Economics, 1993, 25, (6), 759-63 View citations
1991
- German dominance in the European Monetary System: Evidence from money supply growth rates
Open Economies Review, 1991, 2, (3), 285-294 View citations
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