フォロー
Mehmet Baha Karan
Mehmet Baha Karan
Professor of Finance , Hacettepe University
確認したメール アドレス: hacettepe.edu.tr
タイトル
引用先
引用先
Yatırım analizi ve portföy yönetimi
M Karan
Gazi yayınevi, 2018
9202018
Ownership and control structure as determinants of corporate debt maturity: a panel study of an emerging market
Ö Arslan, MB Karan
Corporate Governance: an international review 14 (4), 312-324, 2006
1272006
Yatırım analizi ve portföy yönetimi (4. Baskı)
MB Karan
Ankara: Gazi Kitabevi, 2013
1092013
Do value stocks earn higher returns than growth stocks in an emerging market? Evidence from the Istanbul stock exchange
H Gonenc, MB Karan
Journal of International Financial Management & Accounting 14 (1), 1-25, 2003
1072003
Istanbul Menkul Kiymetler Borsasi Anomalileri
MB Karan
Ege Academic Review 1 (2), 83-94, 2001
1042001
An investigation of the day-of-the-week effect on stock returns in Turkey
R Demirer, MB Karan
Emerging Markets Finance & Trade, 47-77, 2002
1012002
Board structure and corporate performance
O Arslan, MB Karan, C Eksi
Managing global transitions 8 (1), 3, 2010
912010
The development of energy markets in Europe
MB Karan, H Kazdağli
Financial aspects in energy: A European perspective, 11-32, 2011
852011
Credit risks and internationalization of SMEs
Ö Arslan, MB Karan
Journal of Business Economics and Management 10 (4), 361-368, 2009
592009
The impact of the global financial crisis on corporate cash holdings: Evidence from Eastern European countries
B Batuman, Y Yildiz, MB Karan
Borsa Istanbul Review 22 (4), 678-687, 2022
492022
Türkiye’de faiz oranlarının tüketici kredileri üzerindeki etkisi
M İbicioğlu, MB Karan
BDDK Bankacılık ve Finansal Piyasalar Dergisi 3 (2), 11-30, 2009
492009
Gelismekte Olan Ülkelerde Elektrik Tüketimi ile Gayri Safi Yurt Içi Hasila (GSYIH) Arasindaki Es-Bütünlesme ve Nedensellik Iliskisinin Analizi: Türkiye Üzerine Ampirik Bir …
A Kapusuzoglu, MB Karan
Business and Economics Research Journal 1 (3), 57, 2010
452010
Türkiye'de sermye piyasası'nın mali sistem içindeki yeri, sorunları ve geleceği
MB Karan, AA Karacabey
Sermaye Piyasası Kurulu, 2003
452003
Forecasting short run performance of initial public offerings in the Istanbul Stock Exchange
R Aktas, MB Karan, K Aydogan
The Journal of Entrepreneurial Finance 8 (1), 69-85, 2003
452003
Investment fund performance measurement using weight-restricted data envelopment analysis: An application to the Turkish capital market
SA Tarim, MB Karan
Russian & East European Finance and Trade 37 (5), 64-84, 2001
442001
Relationship between the Big-Five personality and the financial performance of fund managers
SM Camgoz, MB Karan, A Ergeneli
Diversity, conflict, and leadership, 137-152, 2017
422017
Credit risk estimation using payment history data: A comparative study of Turkish retail stores
MB Karan, A Ulucan, M Kaya
Central European Journal of Operations Research 21, 479-494, 2013
39*2013
Do Sukuk provide diversification benefits to conventional bond investors? Evidence from Turkey
B Pirgaip, Ö Arslan-Ayaydin, MB Karan
Global Finance Journal 50, 100533, 2021
372021
Hisse Senetlerine Yapılan Yatırımların Performanslarının Fiyat/Kazanç Oranına Göre Değerlendirilmesi
MB KARAN
İktisat İşletme ve Finans 11 (119), 26-35, 1996
361996
Environmental policies, national culture, and stock price crash risk: Evidence from renewable energy firms
Y Yildiz, MB Karan
Business Strategy and the Environment 29 (6), 2374-2391, 2020
332020
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