Details about Yaz Gulnur Muradoglu
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Last updated 2025-01-07. Update your information in the RePEc Author Service.
Short-id: pmu381
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Working Papers
2023
- Who Wil Run Their Bank?
IADI Sponsored Papers, International Association of Deposit Insurers View citations (1)
2020
- Corona shutdown and bankruptcy risk
IWH Online, Halle Institute for Economic Research (IWH) View citations (5)
2014
- Opinion Dynamics and Price Formation: a Nonlinear Network Model
Papers, arXiv.org
2003
- 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
2000
- Do Extreme Falls Help Forecasting Stock Returns? Evidence From World Markets
Working Papers, Department of Economics, Bilkent University
Journal Articles
2024
- Investor attention and market reactions to early announcements in mergers and acquisitions
International Review of Financial Analysis, 2024, 91, (C) View citations (5)
2023
- Herding in foreign direct investment
International Review of Financial Analysis, 2023, 86, (C) View citations (1)
- Learning financial survival from disasters
Journal of International Financial Markets, Institutions and Money, 2023, 85, (C) View citations (2)
- The American spirit: The performativity of folk economics in global financial markets
Environment and Planning A, 2023, 55, (8), 1906-1927
- The impact of the Russian-Ukrainian war on global financial markets
International Review of Financial Analysis, 2023, 87, (C) View citations (48)
2022
- Capital Structures of Small Family Firms in Developing Countries
Review of Corporate Finance, 2022, 2, (4), 745-790 View citations (1)
- Global momentum: The optimal trading approach
Journal of Behavioral and Experimental Finance, 2022, 36, (C) View citations (1)
2021
- The impact of Covid-19 on G7 stock markets volatility: Evidence from a ST-HAR model
International Review of Financial Analysis, 2021, 74, (C) View citations (37)
2020
- Personal routes into behavioural finance
Review of Behavioral Finance, 2020, 12, (1), 1-9 View citations (2)
2019
- Groups, social processes and decision making in finance
Qualitative Research in Financial Markets, 2019, 11, (4), 429-455
2018
- Do international institutions affect financial markets?: evidence from the Greek Sovereign Debt Crisis
The European Journal of Finance, 2018, 24, (7-8), 584-605 View citations (6)
- Enhancing momentum investment strategy using leverage
Journal of Forecasting, 2018, 37, (5), 573-588 View citations (3)
2016
- 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 View citations (38)
- Financial and real sector returns, IMF-related news, and the Asian crisis
Finance Research Letters, 2016, 16, (C), 28-37 View citations (1)
- Home bias persistence in foreign direct investments
The European Journal of Finance, 2016, 22, (8-9), 782-802 View citations (5)
- 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 View citations (1)
2015
- Foreign Debt Usage in Non†Financial Firms: a Horse Race between Operating and Accounting Exposure Hedging
European Financial Management, 2015, 21, (3), 590-611 View citations (7)
2014
- A behavioral analysis of investor diversification
The European Journal of Finance, 2014, 20, (6), 499-523 View citations (12)
- European integration and corporate financing
International Review of Financial Analysis, 2014, 33, (C), 138-157 View citations (3)
- Investor wealth, the IMF, and the Asian crisis
International Review of Financial Analysis, 2014, 33, (C), 130-137 View citations (3)
- Stock market efficiency and international shipping-market information
Journal of International Financial Markets, Institutions and Money, 2014, 33, (C), 445-461 View citations (12)
2013
- Macroeconomic risks, idiosyncratic risks and momentum profits Patterns in Neighboring Areas
Borsa Istanbul Review, 2013, 13, (4), 99-114 View citations (2)
- The effect of leverage mimicking portfolios in explaining stock returns variations
Studies in Economics and Finance, 2013, 30, (2), 94-107 View citations (1)
2012
- Behavioural finance: the role of psychological factors in financial decisions
Review of Behavioral Finance, 2012, 4, (2), 68-80 View citations (14)
- Capital structure and abnormal returns
International Business Review, 2012, 21, (3), 328-341 View citations (10)
- IMF programs, financial and real sector performance, and the Asian crisis
Journal of Banking & Finance, 2012, 36, (1), 164-182 View citations (23)
- Optimism in foreign investors
Review of Behavioral Finance, 2012, 4, (1), 8-27 View citations (2)
- Using Firm‐Level Leverage as an Investment Strategy
Journal of Forecasting, 2012, 31, (3), 260-279 View citations (7)
2010
- Financial distress resolution in China – two case studies
Qualitative Research in Financial Markets, 2010, 2, (2), 46-79 View citations (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 View citations (3)
- What can behavioural finance teach us about finance?
Qualitative Research in Financial Markets, 2010, 2, (1), 29-36 View citations (6)
2008
- Distress and restructuring in China: Does ownership matter?
China Economic Review, 2008, 19, (4), 567-579 View citations (15)
2005
- An investment strategy based on gearing ratio
Applied Economics Letters, 2005, 12, (13), 801-804 View citations (3)
2003
- Durgunluk
Iktisat Isletme ve Finans, 2003, 18, (203), 25-26
- Dünyada Sorun Ne? Türkiye''de Sorun Ne?
Iktisat Isletme ve Finans, 2003, 18, (207), 38-40
- Financial liberalisation: from segmented to integrated economies
Journal of Economics and Business, 2003, 55, (5-6), 529-555 View citations (5)
- Montreal-İstanbul
Iktisat Isletme ve Finans, 2003, 18, (212), 27-28
- Oradan Buradan
Iktisat Isletme ve Finans, 2003, 18, (202), 46-48
- Savaşın Maliyeti
Iktisat Isletme ve Finans, 2003, 18, (204), 67-69
- Trends in market reactions: stock dividends and rights offerings at Istanbul stock exchange
The European Journal of Finance, 2003, 9, (1), 41-60 View citations (1)
- Yeni Dünya Düzeni Ve Türkiye
Iktisat Isletme ve Finans, 2003, 18, (209), 5-8
- Yeni Dünya Düzeninde Bir Türkiye Vizyonu
Iktisat Isletme ve Finans, 2003, 18, (211), 68-70
- Çin Ve Yeni Demokrasi
Iktisat Isletme ve Finans, 2003, 18, (206), 5-7
2002
- Dissemination of Stock Recommendations and Small Investors: Who Benefits?
Multinational Finance Journal, 2002, 6, (1), 29-42 View citations (4)
- Guest Editor's Introduction
Emerging Markets Finance and Trade, 2002, 38, (5), 3-5 
Also in Emerging Markets Finance and Trade, 2002, 38, (6), 3-5 (2002)
- Krizden Çıkış
Iktisat Isletme ve Finans, 2002, 17, (193), 13-15
- Performance of the efficient frontier in an emerging market setting
Applied Economics Letters, 2002, 9, (3), 177-183 View citations (1)
- 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)
- Seçim Sonrası Türkiye Londra’dan Nasıl Görünüyor?
Iktisat Isletme ve Finans, 2002, 17, (201), 10-12
- Seçim Tahminleri
Iktisat Isletme ve Finans, 2002, 17, (198), 5-8
- Seçimleri Kim Kazanır?
Iktisat Isletme ve Finans, 2002, 17, (200), 10-13
- Vergi Salarak Seçim Kazanmak Mümkün mü?
Iktisat Isletme ve Finans, 2002, 17, (195), 9-12
- Yolsuzluk Her Yerde Var!
Iktisat Isletme ve Finans, 2002, 17, (192), 14-17
- İki Konferans Bir Ülke
Iktisat Isletme ve Finans, 2002, 17, (197), 10-13
- İki Konferans Bir İnsan
Iktisat Isletme ve Finans, 2002, 17, (196), 9-12
2001
- Nasıl Bir Kriz
Iktisat Isletme ve Finans, 2001, 16, (189), 70-75
2000
- Forecasting Stock Prices by Using Alternative Time Series Models
Istanbul Stock Exchange Review, 2000, 4, (13), 17-24 View citations (1)
1999
- 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 View citations (1)
1998
- Do markets learn from experience? Price reaction to stock dividends in the Turkish market
Applied Financial Economics, 1998, 8, (1), 41-49 View citations (5)
- 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 View citations (4)
1997
- An Analysis of the “Day of the Week Effect” on the Istanbul Stock Exchange
Istanbul Stock Exchange Review, 1997, 1, (4), 15-26 View citations (5)
1996
- DIFFERENCES IN HOUSEHOLD SAVINGS BEHAVIOR: EVIDENCE FROM INDUSTRIAL AND DEVELOPING COUNTRIES
The Developing Economies, 1996, 34, (2), 138-153 View citations (26)
- Effects of task format on probabilistic forecasting of stock prices
International Journal of Forecasting, 1996, 12, (1), 9-24 View citations (9)
- Efficiency of the Turkish Stock Exchange with respect to monetary variables: A cointegration analysis
European Journal of Operational Research, 1996, 90, (3), 566-576 View citations (18)
1995
- Effects of feedback on probabilistic forecasts of stock prices
International Journal of Forecasting, 1995, 11, (2), 307-319 View citations (8)
1994
- Evaluating probabilistic forecasts of stock prices in a developing stock market
European Journal of Operational Research, 1994, 74, (2), 350-358 View citations (12)
Chapters
2018
- Impact of Credit Risk and Business Cycles on Momentum Returns
Springer
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