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Yaz Gulnur Muradoglu
Yaz Gulnur Muradoglu
Professor of Finance, Queen Mary University of London
Zweryfikowany adres z qmul.ac.uk
Tytuł
Cytowane przez
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Behavioral finance: Quo vadis?
W De Bondt, G Muradoglu, H Shefrin, SK Staikouras
Journal of Applied Finance 18 (2), 7-21, 2008
4242008
Capital structure and corporate financing decisions: theory, evidence, and practice
HK Baker, GS Martin
John Wiley & Sons, 2011
3972011
The impact of the Russian-Ukrainian war on global financial markets
M Izzeldin, YG Muradoğlu, V Pappas, A Petropoulou, S Sivaprasad
International Review of Financial Analysis 87, 102598, 2023
2382023
Bigan,(2001), Causality Between Stock Returns and Macroeconomic Variables in Emerging Markets
G Muradoglu, F Taskin
Russian and East European Finance and Trade 36 (6), 33-53, 0
207*
Behavioural finance: the role of psychological factors in financial decisions
G Muradoglu, N Harvey
Review of Behavioural Finance 4 (2), 68-80, 2012
1732012
The impact of Covid-19 on G7 stock markets volatility: Evidence from a ST-HAR model
M Izzeldin, YG Muradoğlu, V Pappas, S Sivaprasad
International Review of Financial Analysis 74, 101671, 2021
1582021
Differences in household savings behavior: Evidence from industrial and developing countries
G Muradoglu, F Taskin
The Developing Economies 34 (2), 138-153, 1996
1491996
Determinants of Capital Structure in Developing Countries
T Bas, G Muradoglu, K Phylaktis
Cass Business School, London EC1Y 8TZ, UK, 2009
1472009
What can behavioural finance teach us about finance?
W DeBondt, W Forbes, P Hamalainen, Y Gulnur Muradoglu
Qualitative Research in Financial Markets 2 (1), 29-36, 2010
1352010
Is there a long run relationship between stock returns and monetary variables: evidence from an emerging market
GM Lu, K Metin IV, R Argac
Applied Financial Economics 11 (6), 641-649, 2001
1352001
Security market imperfections in worldwide equity markets
DB Keim, WT Ziemba
Cambridge Univ Pr, 2000
120*2000
Determinants of time varying co-movements among international stock markets during crisis and non-crisis periods
A Mobarek, G Muradoglu, S Mollah, AJ Hou
Journal of Financial Stability 24, 1-11, 2016
952016
Socio‐economic development and international migration: a Turkish study
A Icduygu, I Sirkeci, G Muradoglu
International Migration 39 (4), 39-61, 2001
952001
Efficiency of the Turkish Stock Exchange with respect to monetary variables: A cointegration analysis
YG Muradoglu, K Metin
European Journal of Operational Research 90 (3), 566-576, 1996
941996
Capital structure and abnormal returns
YG Muradoğlu, S Sivaprasad
International Business Review 21 (3), 328-341, 2012
902012
Using Firm‐Level Leverage as an Investment Strategy
YG Muradoğlu, S Sivaprasad
Journal of Forecasting, 2009
83*2009
Distress and restructuring in China: Does ownership matter?
A Kam, D Citron, G Muradoglu
China Economic Review 19 (4), 567-579, 2008
82*2008
Stock market efficiency and international shipping-market information
AH Alizadeh, G Muradoglu
Journal of international financial markets, institutions and money 33, 445-461, 2014
672014
Do markets learn from experience? Price reaction to stock dividends in the Turkish market
K Aydogan, G Muradoglu
Applied financial economics 8 (1), 41-49, 1998
651998
IMF programs, financial and real sector performance, and the Asian crisis
AM Kutan, G Muradoglu, BG Sudjana
Journal of Banking & Finance, 2011
582011
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