Journal of Finance Letters (Maliye ve Finans Yazıları)
2008 - 2025
Current editor(s): Süleyman Kale
From Maliye ve Finans Yazıları Yayıncılık Ltd. Şti.
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Volume 37, issue 118, 2022
- Importance Weights of Performance Ratios: Analyzing Hedge Funds by Entropy Method pp. 1-12

- Aykan Coşkun and İsrafil Zor
- Investigation Techniques, Methods, Types, and Increasing Impact of Forensic Accounting in Digital Period pp. 13-32

- İbrahim Mert
- Econometric Analysis of the Relationship Between Inequality of Income Distribution and Financial Development (2000-2019) pp. 33-70

- Esra Erik Akyol and Murat Akbalık
- Analysis of the Asymmetric Effects of Global Uncertainty Factors on BIST Stock Prices Evidence from NARDL Model pp. 71-100

- Mevlüt Camgöz
- An Assessment of the Monetary Policies Implemented by the Central Bank of Turkey During the Covid-19 Epidemic pp. 101-130

- Özlem Ülger
- The Theoretical Framework of Pork Barreling pp. 131-160

- Ersin Yavuz and Sevinç Yaraşır Tülümce
- Impact of Financial Benchmarks Upon the Portfolio Distribution of Mutual Funds: The Evidence From Turkish Capital Market pp. 161-178

- Fatih Kayhan, Berra Doğaner and Mehmet İslamoglu
- A Research on the Use of the Market Approach in Determining the Value of the First Publicly Offered Companies in the BIST in the 2020-2021 Period pp. 179-198

- Hasan Yalçın
- Econometric Analysis of the Relationship of Financial Access, Economic Growth and Private Sector Investments pp. 199-220

- Münevvere Yıldız
- An Analysis on the Capital Structure of Family Firms pp. 221-238

- Aclan Omağ and Altan Masun
- The Relationship Between Port Operational Efficiency and Profitability: A Research on TCDD Ports pp. 239-256

- Serdar Alnıpak
- Relations Among Residential Rent Price Index, Sales’ Volume, REIT Index and Residential Sales Price Index: A Panel Regression Analysis pp. 257-270

- Nurgün Komşuoğlu Yılmaz
- An Evaluation on the Application of the Liberal International Trade Policies Ottoman Empire in Its Last Century pp. 271-306

- Zelha Altınkaya
Volume 37, issue 117, 2022
- The Effect of Exchange Rate Changes on Inflation in Developing Countries pp. 9-20

- Alican Umut
- Tax Attractiveness Index In OECD Countries: Panel Data Analysis pp. 21-40

- Mustafa Alpin Gülşen
- Stock Market Index Prediction Using Dollar-tl and Euro-tl Exchange Rates With K-nearest Neighbor Algorithm pp. 41-62

- Çiğdem Özarı and Özge Demirkale
- Analysis of Intraday Non-linear Asymmetrical Relationship in Us Stock Exchanges With Momentum Threshold Models pp. 63-76

- Ayben Koy, Mehmet Yusuf Güngör and Oğuz Şimşek
- The Relationship Between Stock Market Index Returns and Gold Returns During the First Year of the Coronavirus Pandemic: An Asymmetric Causality Test pp. 77-100

- Onur Oğuz and Özge Korkmaz
- Corporate Cash Holding and Monetary Policy pp. 101-114

- Baki Cem Şahin and Selçuk Gül
- Terrorist Attacks and The Effect of Defense Expenditure on Growth: Analysis of Turkey pp. 115-134

- Kubilay Çağrı Yılmaz
- The Effect of Sovereign Credit Ratings on Cds Premiums: An Event Study on Developed and Developing Countries pp. 135-158

- Sinem Uçarkaya, Şenol Babuşcu and Adalet Hazar
- Investigation of Financial Performance Indicators Affecting Corporate Sustainability of Participation Banks pp. 159-176

- Fatih Akbaş and Ferudun Kaya
- Weak Form Efficiency and Cryptocurrency Market pp. 177-196

- Süleyman Açıkalın and İlker Sakınç
- An Economy-political Analysis on Economy Security pp. 197-214

- Halil İbrahim Aydın, Muhammet Cemal Şahinoğlu and Ahmet Ateş
- BIST Corporate Governance Index Price Prediction With a Facebook Prophet Analysis Method pp. 215-232

- Güzhan Gülay, Veclal Gündüz, Erdem Öncü and Hüseyin Karşılı
- The Effect of Maturity Structures of Bank Assets and Liabilities on Performance: An Empirical Implementation on Deposit Banks in Turkey pp. 233-246

- Akın Taylan Alkan, Hicabi Ersoy and Mefule Fındıkçı Erdoğan
Volume 36, issue Special2, 2021
- Conditional Correlations and Volatility Spillovers Between Crude Oil Price, Tüpraş, and Enerjisa Stock Returns: A Proposal for Constructing an Ultimate BIST Energy Index pp. 15-32

- Caner Özdurak
- The Effect of the Output Gap on Inflation Within the Framework of the Hybrid New Keynesian Phillips Curve Model: The Case of Turkey pp. 33-50

- Figen Tombak
- Analysis of Effects of the Covid-19 Pandemic Process on BIST-30 Equities through Confusion Matrix pp. 51-70

- Gökhan Sönmezler and İsmail Orçun Gündüz
- Modelling an Artificial Financial Market: Agent Based Approach pp. 71-96

- Hidayet Beyhan and Burç Ülengin
- The Sector Balance Sheet and Macroeconomic Indicators Influence on Liability Dolarization in Turkey pp. 97-112

- Yücel Ayrıçay and Meltem Kılıç
- The Foreign Aid Factor in Acceptance of Refugee pp. 113-130

- Müge Manga and Orhan Cengiz
- The Effect of Sectoral Costs on Non-Performing Loans: An Investigation on the Construction Industry pp. 131-144

- Osman Emre Arlı and Ali Bayrakdaroğlu
- The Role of Energy in Sustainable Growth: Turkey's Resource Abundance-Energy Scarcity Paradox pp. 145-172

- Fatma Rabia Aktaş Şenkardeşler
- Dynamic and High-Frequency Price Index: Calculation of Turkey's Daily and Hourly Inflation pp. 173-190

- Serkan Gençer and Veysel Ulusoy
- Estimation of the Future Values of BIST 30 Shares with Geometric Brownian Motion and Volatility Analysis with ARIMA, SARIMA, GARCH, EGARCH, GJR Models pp. 191-218

- Sonat Bayram
- Investigation of the Impact of Tax Penalty Announcements on Banks’ Stock Returns pp. 219-232

- Soner Yakar, Gözde Elbir and Serkan Kandır
- The Impact of Credit Default Swaps (CDS) on Foreign Direct and Portfolio Investment: The Case of Turkey pp. 233-252

- Şener İlter and Remzi Gök
- Evaluating The Efficiency of Enterprises Traded in Borsa Istanbul IT Sector pp. 253-268

- Tuba Özkan
Volume 36, issue 116, 2021
- Operating Performance of Management Buyouts: Non-PTP Dimension of Acquisitions pp. 9-36

- Lokman Tütüncü
- The Relationship Between Financial Development and Firm Performance: Sectoral Evidence From Borsa Istanbul pp. 37-56

- Mert Topcu and Beste Selin Öztekin
- Corporate Governance and Portfolio Performance: Evidence From BRICS Countries pp. 57-72

- Aslı Aybars, Mehtap Öner and Emre Zehir
- Analysis of the Relationship Between Credit Default Swaps (CDS),Credit Ratings and Stock Markets: The Case of Turkey pp. 73-92

- Hakan Sarıtaş, Emre Kılıç and Elif Hilal Nazlıoğlu
- Does Huawei Pose a Threat to Technology Competition pp. 93-118

- Barış Esen
- Analysis of the Deposit Banks Quoted in BIST With Topsis and Entropy Methods in Terms of IMF Financial Soundness Indicators pp. 119-142

- Mehmet Mete Karadağ
- Weather Anomaly: Panel Data Analysis pp. 143-154

- Aysel Gündoğdu
- Evaluation of 2001 Crisis in Dollarization Dimension With VAR Analysis pp. 155-170

- Ayşegül Ak
- Crypto Monetary Policies in Turkey in Terms of Public Policy Analysis pp. 171-201

- Osman Hatipoğlu
Volume 36, issue 115, 2021
- The Relationship Between Financial Risk Tolerance and Demographic Variables: Moderating Effect of Financial Literacy pp. 9-26

- Ahmet Oğuz Akgüneş
- Predicting Financial Statement Frauds Using Machine Learning Methods and Logistic Regression: The Case of Borsa Istanbul pp. 27-58

- Barış Aksoy
- The Effects of Foreign Trade on Participation Index: ARDL Bounds Testing Approach pp. 59-76

- Tufan Sarıtaş and Erdi Bayram
- Operation Implementation and Financial Evaluation of The Concordat Process in Business pp. 77-102

- Okan Geniş and Esin Nesrin Can
- The Impact of Covid-19 and Crude Oil Price on Economic Policy Uncertainty; Evidence From an Emerging Market Economy pp. 103-118

- Umut Burak Geyikci
- Trade Of Turkey In The One Belt One Road Initiative: Gravity Model Analysis pp. 119-134

- Hacer Şaduman Okumuş, Ümit Bozoklu and Sevcan Çağlayan