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 30, issue 104, 2015
- The Effects of Monetary Policy by Tcmb, Fed and Ecb on Banking Sector in Turkey: Markov Switching Approach (2002-2013) pp. 9-24

- Mustafa Çayır, Deniz Erer, Elif Erer and N. Oğuzhan Altay
- The Impact of Investor Sentiment on Borsa Istanbul Sector Index Returns pp. 29-52

- Berna Aydoğan and Gülin Vardar
- The Effects of 2008 Global Crisis on Turkish Banking Sector and It’s Analysis With the Help of Survey Study pp. 53-81

- Mehmet Demir and Mehmet Hasan Eken
- The Research of the Relationship between Intrinsic-Extrinsic Motivation and the Organizational Commitment pp. 83-104

- Hürriyet Bilge, Vedat Bal and Aslı Gönlügür
- The Comparison of The Impacts of 2001 and 2008 Crises on Turkıih Banking Sector pp. 105-130

- Özge Arslan Coşkun and Mehmet Hasan Eken
- Control of Purchase Request in Use of Credıt Card: The Case of Rize pp. 131-144

- Melih Kutlu, Musa Gün and Osman Karamustafa
- The Relationship Between Bond Yields, CDS Spreads, and Credit Ratings of Eurozone Countries After the European Debt Crisis pp. 145-165

- Mustafa Çavdar
- The Impact of Ownership Concentration on Firm Value: An Analysis on Borsa Istanbul pp. 167-181

- Emin Hüseyin Çetenak
Volume 30, issue 103, 2015
- Global Financial Sanctions: An Empirical Application with a Game Theory Approach pp. 10-20

- Yaşar Köse
- A Study on the Factors Influencing Individual Retirement Fund Choices pp. 21-50

- Selim Aren, Sibel Dinç Aydemir and Arzu Rahime Uçar
- The Analysis of ohe Effects of the Changes in Monetary Policy Implement by TCMB and Forward Guidence of TCMB, FED and ECB pp. 51-83

- Şaban Çelik, Deniz Erer, Elif Erer and Tuna Can Güleç
- Analysis of the Responses of Turkey’s Ratings and Credit Default Swap Spreads to Economic and Social Events pp. 85-111

- Bekir Kaya, Emine Öner Kaya and Kürşat Yalçıner
- The Impact of Financial Stataments’ Publications on Stock Returns: An Empirical Application on ISE pp. 112-141

- İbrahim Bozkurt, Sezer Öksüz and Rıfat Karakuş
- An Analysis of Intraday Data on Borsa Istanbul pp. 142-155

- Murat Çinko, Emin Avcı, Aslı Aybars and Mehtap Öner
- Risk-Based Directional Distance Function Approach in Evaluating Bank Performance pp. 157-174

- Özge Sezgin Alp and Adalet Hazar
- The Relationship Between Financial Stability and Competition in the Turkish Banking Sector pp. 175-204

- F. Dilvin Taşkın
- An Application of the Degree of Financial Leverage on Selected Industries pp. 205-218

- Aclan Omağ
- The Analysis of IFRS 15 - Revenue from Contracts with Customers Standard and an Application on Telecommunications Sector pp. 219-246

- Ayşe İrem Keskin and Banu Dinçer
- Justice and Game Theory in Economic Decision Making pp. 247-273

- Murat Yalçıntaş
Volume 29, issue 102, 2014
- Analyzing the Relationship Between the Credit Default Swaps and Bist-100 pp. 9-22

- Görkem Hancı
- Analysis of Competitive Power of Public Enterprises and Example of the Transportation Sector pp. 23-42

- Alper Karahan
- Analysis of the Relationship Between Petroleum Consumption and Economic Growth in Turkey pp. 43-58

- Fatma Bahar Şanlı and Kadir Tuna
- Impact of Leading Economic Indicators on the Number of Private Pension System Contributors pp. 59-76

- Erdem Kilic
Volume 29, issue 101, 2014
- (Güncel) Sürdürülebilir Yenilikçi Finans ve Türkiye pp. 9-13

- M. Ferhan Kaptan and Kadir Dönmez
- The Euro Crisis in the European Union and Its Effects on the Turkish Economy pp. 15-37

- Şahap Kavcıoğlu
- Short Term Effects of Quantitative Easing Policies on Turkish Financial Markets pp. 38-52

- Sıtkı Sönmezer
- An Accounting Viewpoint for the Relationship Between Intellectual Capital and Web Trends of Bist 30 Firms in Turkey pp. 53-81

- Cevdet Kızıl, M. Lütfi Arslan and Sadi Evren Seker
- Practices, Findings, and Recommendations for Reducing Asymmetric Information in the Credit Evaluation Process pp. 91-131

- Mehmet Mete Karadağ and Hüseyin Selimler
- The Optimal Size of the Public Sector in Turke pp. 132-157

- İ. Gökçe Kaya
- Banking: A Political Economic Overview pp. 159-182

- Ali Tarhan
Volume 28, issue 100, 2013
- Financialization and Its Economic Consequences: Turkey pp. 9-40

- Sedat Aybar and Cengiz Doğru
- Enhancing the Effectiveness of Independent Auditing: Quality and Quality Control in Auditing Services – U.S. Regulations pp. 42-94

- Sadiye Oktay
- Global Crisis: Analyzing the Turkish Case from the Perspective of Foreign Debt and Current Account Deficit pp. 95-114

- Hicabi Ersoy
- Determinants of Technological Progress: Panel Cointegration and Panel Causality Analysis for NIC Countries pp. 115-142

- Ismet Gocer
- Housing Prices and Macroeconomic Factors: A Global Perspective pp. 143-154

- Serkan Çankaya
Volume 28, issue 99, 2013
- Public and Private Sector Internal Auditing Practices in Turkey pp. 8-36

- Fikret Kartal
- Is It Possible to Generate an Income Through the Sale & Buying of Shares of Companies That Went Public? Evidence from BIST pp. 39-58

- Bekir Elmas
- Implementation of Environmental Taxes at the Local Government Level: The Practices of the European Union and Turkey pp. 55-79

- İsmail Orçun Gündüz and Bilge Hakan Agun
Volume 28, issue 98, 2013
- Sorunlu Alacakların Tasfiyesinde Optimal İhale İştirak Politikası pp. 9-27

- Engin Topaloğlu
- The Effects and Issues of Turkey's Free Trade Agreements on Its Foreign Trade pp. 28-47

- T. Mesut Eren
- The Testing of The Quality in Earnings Per Share With Operational Net Cash Flow and The Example of The Stocks in İMKB Commercial Index pp. 49-65

- Orkun İçten
Volume 27, issue 97, 2012
- Brand Value on the Balance Sheet and Brand Accounting According to Turkey Accounting Standard 38 pp. 9-37

- Berna Burcu Yılmaz
- Information Sharing in Property Appraisal to Reduce Collateral Risk in Banking pp. 38-62

- Mehmet Yazıcı and Erkut Baloğlu
- Operational Risk and Operational Risk Related Banking Scandals/ Large Incidents pp. 64-86

- Zülal Bodur
Volume 27, issue 96, 2012
- (Güncel) Yılın İkinci Yarısında Ekonomi pp. 9-14

- Tevfik Altınok
- Analysis of the Volatility of Macroeconomic Variables in Determining Bond Market Volatility pp. 15-33

- H. Hakan Yavuz
- Foreign Currency Transactions in the Turkish Banking Sector pp. 35-65

- Hüseyin Selimler and Süleyman Kale
- Detecting Falsified Financial Statements Using Data Mining: Empirical Research on the Finance Sector in Turkey pp. 76-94

- İlker Kıymetli Şen and Serkan Terzi
Volume 27, issue 95, 2012
- Analysis of the Effects of Justice Perception on Organizations Developed at Personnel Candidates During the Process of Personnel Selection and Recruitment pp. 9-21

- Fahri Erenel
- Obligations of Banks in the Cheque Law No. 5941 pp. 23-58

- Özgür Çatıkkaş and Hüsamettin Duran
- Evaluation of the Financial Performances of IT Sector Companies Listed on the ISE Using the TOPSIS Method pp. 59-78

- Sibel Yılmaz Türkmen and Gülcan Çağıl
Volume 27, issue 94, 2012
- (Güncel) Hırsız Baaronlardan Çağdaş İşadamlarına Dönüşüm pp. 9-22

- Ali Tarhan
- () 2011’i Geride Bırakırken Finansal Kriz, AB ve Türkiye pp. 23-42

- C. Coşkun Küçüközmen
- The Use of Options as an Alternative for Short Selling and Recommendations for the Turkish Capital Marke pp. 43-68

- Mine Aksoy and Engin Kurun
- Management of Banking Crises pp. 69-96

- Hicabi Ersoy
- Cointegration and Deterministic Spread-Based Stock Pair Trading Strategy pp. 97-118

- Mehmet Horasanlı and Alper Özdamar