Istanbul Stock Exchange Review
1997 - 2013
From Research and Business Development Department, Borsa Istanbul Contact information at EDIRC. Bibliographic data for series maintained by Ahmet Palu (). Access Statistics for this journal.
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Volume 9, issue 36, 2007
- Detecting the Manipulation of Financial Information by Using Artificial Neural Network Models pp. 1-26

- Guray Kucukkocaoglu, Yasemin Keskin Benli and Cemal Kuçuksozen
- Impact of Audit Opinions on Stock Returns in Istanbul Stock Exchange (ISE) pp. 27-48

- Hakan Aygoren and Suleyman Uyar
- Asymmetric Responses in Volatility Between Positive and Negative Shocks: New Evidence From Turkish Data by Using TAR-GARCH Model pp. 69-76

- Cuneyt Akar
Volume 9, issue 35, 2007
- How to Manage the Mortgage Credit Risk in Turkey? Can Dual-indexed Mortgages be a Remedy? pp. 1-10

- Ali Alp and M. Mete Doganay
- Forecasting Financial Variables by the Grey Theory pp. 11-20

- Sadık Çukur, Erdogan Kotil and Resul Eryigit
- Overreaction Hypothesis and an Empirical Work on the Istanbul Stock Exchange pp. 21-36

- Serafetin Sevim, Birol Yildiz and Soner Akkoc
- Purchasing Power Parity and ARIMA Models in Forecasting Exchange Rates: The Case of Turkey pp. 37-50

- Hasan Vergil and Filiz Ozkan
Volume 9, issue 34, 2007
- Cointegration and Causality Between Macroeconomic Variables and Share Prices pp. 1-16

- Omer Yilmaz, Bener Gungor and Vedat Kaya
- Comparing the Convergence Behaviour of Binomial and Trinomial Models pp. 17-34

- Mehmet Horasanli
- Foreign Direct Investment and Real Exchange Rate: A Causality Analysis pp. 35-44

- Hasan Vergil and Hamza Cestepe
Volume 9, issue 33, 2007
- Public Disclosure Systems pp. 1-58

- Research Departmen Ise
- Measuring Audit Risk by Data Envelopment Analysis pp. 59-78

- Nurhan Davutyan and Lerzan Kavut
- The European Union Portfolio-Diversification Opportunities in the New Members vs. the Candidate: Turkey pp. 79-100

- Ceylan Onay and Vedat Akgiray
Volume 8, issue 32, 2006
- The Relationship Between Macroeconomic Volatility and Stock Market Volatility pp. 1-10

- Saadet Kirbas Kasman
- Measuring Default Risk in Turkey: Econometric Approach pp. 11-36

- Melike Bildirici and Mehmet Salman
- The Effects of G-7 Countries’ Stock Markets on the Istanbul Stock Exchange pp. 37-56

- Nildag Ceylan
Volume 8, issue 31, 2006
- Size and Book-to-Market Effects: Evidence from the Istanbul Stock Exchange (ISE) pp. 1-18

- Nuri Yildirim
- Persistence in Emerging Market Stock Returns: Empirical Evidence from Six Stock Markets pp. 19-30

- Zeynel Ozdemir
- Are Investors Affected by the Weather Conditions: Evidence from the Istanbul Stock Exchange pp. 31-41

- Ekrem Tufan and Bahattin Hamarat
Volume 8, issue 30, 2005
- Investors’ Selection Between Two Financial Markets: A Conditional Correlation Approach pp. 1-18

- Oral Erdoğan and Harald Schmidbauer
- Exchange Rate Exposure: An Empirical Application for Textile Industry on the Istanbul Stock Exchange pp. 19-30

- Sadýk Cukur and Yusuf Volkan Topuz
- Mudaraba-Venture Capital Closed-end Mutual Funds and Mudaraba-Venture Capital Open-end Mutual Funds pp. 31-58

- Halil Ibrahim Bulut
Volume 8, issue 29, 2005
- Institutional Investors and Stock Market Development: A Causality Study pp. 1-14

- Guler Aras and Alovsat Muslumov
- A Risk and Profitability Approach to Bank Performance Measurement: The Case of Turkish Commercial Banks pp. 15-38

- M. Hasan Eken
- Monetary Policy Analysis for Turkey in a Game Theoretical Perspective pp. 39-64

- Cem Mehmet Baydur, Bora Suslu and Selahattin Bekmez
- Single-Price Auction System for the Istanbul Stock Exchange pp. 65-79

- Güray Kucukkocaoglu
Volume 7, issue 27, 2003
- Abnormal Return Fluctuations in the ISE (Istanbul Stock Exchange) Before and After the General Elections in Turkey pp. 1-14

- Pinar Evrim Mandaci
- Forecasting the Volatilities and Covariances of ISE Government Debt Securities Indices pp. 15-34

- M.Mete Doganay
- Financial Liberalisation and Economic Growth: A Panel Data Approach pp. 35-58

- Bulent Guloglu
Volume 7, issue 25-26, 2003
- Banks, Stock Market and Economic Growth: Cointegration and Causality Analysis Case of Turkey (1989-2000) pp. 1-18

- Hakan Cetintas and Salih Barisik
- An Analysis on the Dividend Policy of the Istanbul Stock Exchange (ISE) Corporations: Cash Dividend-Industry Behavior Relation pp. 19-40

- Mustafa Yılmaz
- Capital Structure of the Turkish Domestic and International Real Sector Firms pp. 41-64

- Halit Gonenc and Ozgur Arslan
- Forecasting the Direction of the ISE National-100 Index By Neural Networks Backpropagation Algorithm pp. 65-82

- Ali Ihsan Diler
Volume 6, issue 24, 2003
- Examining Systematic and Nonsystematic Risks of the ISE Financial Sector Companies pp. 1-14

- Prof. Dr. Hatice Dogukanli, Songül Kakilli Acaravci and Serkan Yilmaz Kandir
- An Investigation of Beta Instability in the Istanbul Stock Exchange pp. 15-32

- Atilla Odabasi
- Finance and Growth in Turkey: Casuality Issue pp. 33-48

- Ensar Yilmaz and Ozgur Kayalica
Volume 6, issue 23, 2002
- Multi-Beta Capital Asset Pricing Model and an Application in Turkey pp. 1-14

- Hatice Dogukanli and Serkan Yilmaz Kandir
- A New Financial Instrument For the Turkish Capital Markets: Exchange Traded Funds (ETFs) pp. 15-40

- Cetin Ali Donmez
Volume 6, issue 22, 2002
- Cash Conversion Cycle, Cash Management and Profitability: An Empirical Study on the ISE Traded Companies pp. 1-16

- Tulay Yucel and Gulizar Kurt
- Measurement of Foreign Exchange Exposure on the Turkish Private Banks’ Stock Prices pp. 17-32

- Serpil Canbas, Murat Doganlar and Yildirim B.Onal
- Income Velocity of Money (M2): The Case of Turkey, 1986-2000 pp. 33-48

- Fatih Cin and Fikret Dulger
Volume 6, issue 21, 2002
- Global Factors and Stock Returns: Empirical Evidence From the Istanbul Stock Exchange pp. 1-20

- Alpaslan Akcoraoglu and Funda Yurdakul
- Conditional CAPM and an Application on the ISE pp. 21-36

- Yalcin Karatepe, Elif Karaaslan and Fazil Gokgoz
- Anchors in Implementation of Moneraty Policies in Turkey in 1990’s pp. 37-86

- Cem Mehmet Baydur and Bora Suslu
Volume 5, issue 20, 2001
- Opinions and Attitudes of Independent Auditors and Users of Audit Services Concerning Audit Quality pp. 1-30

- Lerzan Kavut
- The 1994 Economic Crisis and Its Effects On Commercial Banks: An Emprical Investigation pp. 31-74

- Ýhsan Ýsik
Volume 5, issue 19, 2001
- Principles of Corporate Governance in the Capital Markets (Special Issue) pp. 1-69

- Meral Varis, Ali Kuçukcolak, Oral Erdoğan and Levent Ozer
Volume 5, issue 18, 2001
- Testing Volatility Asymmetry in Istanbul Stock Exchange pp. 1-12

- Cem Payaslıoğlu
- Monetary Transmission and Bank Lending in Turkey pp. 13-32

- Lokman Gunduz
- Deseasonalizing Macroeconomic Data: A Caveat to Applied Researchers in Turkey pp. 33-52

- C. Emre Alper and S. Boragan Aruoba
Volume 5, issue 17, 2001
- Stochastic Trends and Stock Prices in Emerging Markets: The Case of Middle East and North Africa Region pp. 1-22

- Lokman Gunduz and Mohammed Omran
- Pre-Trade Transparency pp. 23-46

- Ananth Madhavan, David Porter and Daniel Weaver
- Prediction of Financial Failure With Artificial Neural Network Technology and an Empirical Application on Publicly Held Companies pp. 47-62

- Birol Yildiz
- The Investment of Emerging Capital Markets and the Role of Derivative Securities pp. 63-92

- Tamer Korkmaz
- Behavioral Finance Theories and the Price Behavior of the ISE Around the Start of the Disinflation Programme pp. 93-124

- Numan Ülkü
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