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Details about Yaz Gulnur Muradoglu

Workplace:School of Business and Management, Queen Mary University of London, (more information at EDIRC)

Access statistics for papers by Yaz Gulnur Muradoglu.

Last updated 2025-01-07. Update your information in the RePEc Author Service.

Short-id: pmu381


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Working Papers

2023

  1. Who Wil Run Their Bank?
    IADI Sponsored Papers, International Association of Deposit Insurers Downloads View citations (1)

2020

  1. Corona shutdown and bankruptcy risk
    IWH Online, Halle Institute for Economic Research (IWH) Downloads View citations (5)

2014

  1. Opinion Dynamics and Price Formation: a Nonlinear Network Model
    Papers, arXiv.org Downloads

2003

  1. Measuring the Systematic Risk of IPO’s Using Empirical Bayes Estimates in the Thinly Traded Istanbul Stock Exchange
    MPRA Paper, University Library of Munich, Germany Downloads

2000

  1. Do Extreme Falls Help Forecasting Stock Returns? Evidence From World Markets
    Working Papers, Department of Economics, Bilkent University

Journal Articles

2024

  1. Investor attention and market reactions to early announcements in mergers and acquisitions
    International Review of Financial Analysis, 2024, 91, (C) Downloads View citations (5)

2023

  1. Herding in foreign direct investment
    International Review of Financial Analysis, 2023, 86, (C) Downloads View citations (1)
  2. Learning financial survival from disasters
    Journal of International Financial Markets, Institutions and Money, 2023, 85, (C) Downloads View citations (2)
  3. The American spirit: The performativity of folk economics in global financial markets
    Environment and Planning A, 2023, 55, (8), 1906-1927 Downloads
  4. The impact of the Russian-Ukrainian war on global financial markets
    International Review of Financial Analysis, 2023, 87, (C) Downloads View citations (48)

2022

  1. Capital Structures of Small Family Firms in Developing Countries
    Review of Corporate Finance, 2022, 2, (4), 745-790 Downloads View citations (1)
  2. Global momentum: The optimal trading approach
    Journal of Behavioral and Experimental Finance, 2022, 36, (C) Downloads View citations (1)

2021

  1. The impact of Covid-19 on G7 stock markets volatility: Evidence from a ST-HAR model
    International Review of Financial Analysis, 2021, 74, (C) Downloads View citations (37)

2020

  1. Personal routes into behavioural finance
    Review of Behavioral Finance, 2020, 12, (1), 1-9 Downloads View citations (2)

2019

  1. Groups, social processes and decision making in finance
    Qualitative Research in Financial Markets, 2019, 11, (4), 429-455 Downloads

2018

  1. Do international institutions affect financial markets?: evidence from the Greek Sovereign Debt Crisis
    The European Journal of Finance, 2018, 24, (7-8), 584-605 Downloads View citations (6)
  2. Enhancing momentum investment strategy using leverage
    Journal of Forecasting, 2018, 37, (5), 573-588 Downloads View citations (3)

2016

  1. Determinants of time varying co-movements among international stock markets during crisis and non-crisis periods
    Journal of Financial Stability, 2016, 24, (C), 1-11 Downloads View citations (38)
  2. Financial and real sector returns, IMF-related news, and the Asian crisis
    Finance Research Letters, 2016, 16, (C), 28-37 Downloads View citations (1)
  3. Home bias persistence in foreign direct investments
    The European Journal of Finance, 2016, 22, (8-9), 782-802 Downloads View citations (5)
  4. Worldwide impact of IMF policies during the Asian crisis: who does the IMF help, creditors or crisis countries?
    Journal of Economic Policy Reform, 2016, 19, (2), 116-147 Downloads View citations (1)

2015

  1. Foreign Debt Usage in Non†Financial Firms: a Horse Race between Operating and Accounting Exposure Hedging
    European Financial Management, 2015, 21, (3), 590-611 Downloads View citations (7)

2014

  1. A behavioral analysis of investor diversification
    The European Journal of Finance, 2014, 20, (6), 499-523 Downloads View citations (12)
  2. European integration and corporate financing
    International Review of Financial Analysis, 2014, 33, (C), 138-157 Downloads View citations (3)
  3. Investor wealth, the IMF, and the Asian crisis
    International Review of Financial Analysis, 2014, 33, (C), 130-137 Downloads View citations (3)
  4. Stock market efficiency and international shipping-market information
    Journal of International Financial Markets, Institutions and Money, 2014, 33, (C), 445-461 Downloads View citations (12)

2013

  1. Macroeconomic risks, idiosyncratic risks and momentum profits Patterns in Neighboring Areas
    Borsa Istanbul Review, 2013, 13, (4), 99-114 Downloads View citations (2)
  2. The effect of leverage mimicking portfolios in explaining stock returns variations
    Studies in Economics and Finance, 2013, 30, (2), 94-107 Downloads View citations (1)

2012

  1. Behavioural finance: the role of psychological factors in financial decisions
    Review of Behavioral Finance, 2012, 4, (2), 68-80 Downloads View citations (14)
  2. Capital structure and abnormal returns
    International Business Review, 2012, 21, (3), 328-341 Downloads View citations (10)
  3. IMF programs, financial and real sector performance, and the Asian crisis
    Journal of Banking & Finance, 2012, 36, (1), 164-182 Downloads View citations (23)
  4. Optimism in foreign investors
    Review of Behavioral Finance, 2012, 4, (1), 8-27 Downloads View citations (2)
  5. Using Firm‐Level Leverage as an Investment Strategy
    Journal of Forecasting, 2012, 31, (3), 260-279 View citations (7)

2010

  1. Financial distress resolution in China – two case studies
    Qualitative Research in Financial Markets, 2010, 2, (2), 46-79 Downloads View citations (2)
  2. The banking and financial crisis in the UK: what is real and what is behavioural?
    Qualitative Research in Financial Markets, 2010, 2, (1), 6-15 Downloads View citations (3)
  3. What can behavioural finance teach us about finance?
    Qualitative Research in Financial Markets, 2010, 2, (1), 29-36 Downloads View citations (6)

2008

  1. Distress and restructuring in China: Does ownership matter?
    China Economic Review, 2008, 19, (4), 567-579 Downloads View citations (15)

2005

  1. An investment strategy based on gearing ratio
    Applied Economics Letters, 2005, 12, (13), 801-804 Downloads View citations (3)

2003

  1. Durgunluk
    Iktisat Isletme ve Finans, 2003, 18, (203), 25-26
  2. Dünyada Sorun Ne? Türkiye''de Sorun Ne?
    Iktisat Isletme ve Finans, 2003, 18, (207), 38-40
  3. Financial liberalisation: from segmented to integrated economies
    Journal of Economics and Business, 2003, 55, (5-6), 529-555 Downloads View citations (5)
  4. Montreal-İstanbul
    Iktisat Isletme ve Finans, 2003, 18, (212), 27-28
  5. Oradan Buradan
    Iktisat Isletme ve Finans, 2003, 18, (202), 46-48
  6. Savaşın Maliyeti
    Iktisat Isletme ve Finans, 2003, 18, (204), 67-69
  7. Trends in market reactions: stock dividends and rights offerings at Istanbul stock exchange
    The European Journal of Finance, 2003, 9, (1), 41-60 Downloads View citations (1)
  8. Yeni Dünya Düzeni Ve Türkiye
    Iktisat Isletme ve Finans, 2003, 18, (209), 5-8
  9. Yeni Dünya Düzeninde Bir Türkiye Vizyonu
    Iktisat Isletme ve Finans, 2003, 18, (211), 68-70
  10. Çin Ve Yeni Demokrasi
    Iktisat Isletme ve Finans, 2003, 18, (206), 5-7

2002

  1. Dissemination of Stock Recommendations and Small Investors: Who Benefits?
    Multinational Finance Journal, 2002, 6, (1), 29-42 Downloads View citations (4)
  2. Guest Editor's Introduction
    Emerging Markets Finance and Trade, 2002, 38, (5), 3-5 Downloads
    Also in Emerging Markets Finance and Trade, 2002, 38, (6), 3-5 (2002) Downloads
  3. Krizden Çıkış
    Iktisat Isletme ve Finans, 2002, 17, (193), 13-15
  4. Performance of the efficient frontier in an emerging market setting
    Applied Economics Letters, 2002, 9, (3), 177-183 Downloads View citations (1)
  5. Portfolio Managers' and Novices' Forecasts of Risk and Return: Are There Predictable Forecast Errors?
    Journal of Forecasting, 2002, 21, (6), 395-416 View citations (3)
  6. Seçim Sonrası Türkiye Londra’dan Nasıl Görünüyor?
    Iktisat Isletme ve Finans, 2002, 17, (201), 10-12
  7. Seçim Tahminleri
    Iktisat Isletme ve Finans, 2002, 17, (198), 5-8
  8. Seçimleri Kim Kazanır?
    Iktisat Isletme ve Finans, 2002, 17, (200), 10-13
  9. Vergi Salarak Seçim Kazanmak Mümkün mü?
    Iktisat Isletme ve Finans, 2002, 17, (195), 9-12
  10. Yolsuzluk Her Yerde Var!
    Iktisat Isletme ve Finans, 2002, 17, (192), 14-17
  11. İki Konferans Bir Ülke
    Iktisat Isletme ve Finans, 2002, 17, (197), 10-13
  12. İki Konferans Bir İnsan
    Iktisat Isletme ve Finans, 2002, 17, (196), 9-12

2001

  1. Nasıl Bir Kriz
    Iktisat Isletme ve Finans, 2001, 16, (189), 70-75

2000

  1. Forecasting Stock Prices by Using Alternative Time Series Models
    Istanbul Stock Exchange Review, 2000, 4, (13), 17-24 Downloads View citations (1)

1999

  1. Financial Crisis and Changes in Determinants of Risk and Return: An Empirical Investigation of an Emerging Market (ISE)
    Multinational Finance Journal, 1999, 3, (4), 223-252 Downloads View citations (1)

1998

  1. Do markets learn from experience? Price reaction to stock dividends in the Turkish market
    Applied Financial Economics, 1998, 8, (1), 41-49 Downloads View citations (5)
  2. The effect of the establishment of an organized exchange on weak form efficiency: the case of Istanbul Gold Exchange
    The European Journal of Finance, 1998, 4, (1), 85-92 Downloads View citations (4)

1997

  1. An Analysis of the “Day of the Week Effect” on the Istanbul Stock Exchange
    Istanbul Stock Exchange Review, 1997, 1, (4), 15-26 Downloads View citations (5)

1996

  1. DIFFERENCES IN HOUSEHOLD SAVINGS BEHAVIOR: EVIDENCE FROM INDUSTRIAL AND DEVELOPING COUNTRIES
    The Developing Economies, 1996, 34, (2), 138-153 Downloads View citations (26)
  2. Effects of task format on probabilistic forecasting of stock prices
    International Journal of Forecasting, 1996, 12, (1), 9-24 Downloads View citations (9)
  3. Efficiency of the Turkish Stock Exchange with respect to monetary variables: A cointegration analysis
    European Journal of Operational Research, 1996, 90, (3), 566-576 Downloads View citations (18)

1995

  1. Effects of feedback on probabilistic forecasts of stock prices
    International Journal of Forecasting, 1995, 11, (2), 307-319 Downloads View citations (8)

1994

  1. Evaluating probabilistic forecasts of stock prices in a developing stock market
    European Journal of Operational Research, 1994, 74, (2), 350-358 Downloads View citations (12)

Chapters

2018

  1. Impact of Credit Risk and Business Cycles on Momentum Returns
    Springer
 
Page updated 2025-03-31