Items where Subject is "HG Finance"
- Library of Congress Subject Areas (98)
- H Social Sciences (98)
- HG Finance (98)
- HG201-1496 Money (2)
- HG Finance (98)
- H Social Sciences (98)
Article
Akgündüz, Yusuf Emre and Hacıhasanoğlu, Yavuz Selim and Yılmaz, Fatih (2023) Refugees and housing: evidence from the mortgage market. World Bank Economic Review, 37 (1). pp. 147-176. ISSN 0258-6770 (Print) 1564-698X (Online)
Aksu, Mine Hatice (2005) Value relevance of troubled debt restructurings and policy implications. Journal of Restructuring Finance, 2 (2). pp. 111-130. ISSN 0219-869X
Aleskerov, Fuad and Ersel, Hasan and Yolalan, Reha (2004) Multicriterial ranking approach for evaluating bank branch performance. International journal of information technology & decision making, 3 (2). pp. 321-335. ISSN 0219-6220
Alp, Aysun (2012) Structural shifts in credit rating standards. (Accepted)
Ararat, Melsa and Eroğlu, Muzaffer (2012) Istanbul stock exchange moves first on mandatory electronic voting. Harvard Law School Forum on Corporate Governance and Financial Regulation .
Ararat, Melsa and Yurtoğlu, Besim Burçin (2013) Institutional and company specific determinants of international institutional investors' tendency to vote at general assemblies. İktisat, İşletme ve Finans, 28 (322). pp. 61-90. ISSN 1300-610X (Print) 1308-4658 (Online)
Ben-Tahar, Imen and Soner, Halil Mete and Touzi, Nizar (2007) The dynamic programming equation for the problem of optimal investment under capital gains taxes. (Accepted)
Çağlayan, Mustafa and Filiztekin, Alpay (2003) Nonlinear impact of inflation on relative price variability. Economics Letters, 79 (2). pp. 213-218. ISSN 0165-1765
Dhiensiri, Nont and Sayrak, Akın (2010) The value impact of analyst coverage. Review of Accounting and Finance, 9 (3). pp. 306-331. ISSN 1475-7702
Doğanoğlu, Toker and Hartz, Christoph and Mittnik, Stefan (2007) Portfolio optimization when risk factors are conditionally varying and heavy tailed. Computational Economics, 29 (3-4). pp. 333-354. ISSN 1572-9974
Ersel, Hasan and Filiztekin, Alpay (2004) Kredi istemi esnekliği ve bankacılıkta fon aktarımından alınan vergilerin istem üzerine etkisi. Bankacılar Dergisi (49). pp. 33-52. ISSN 1300-0217
Ersel, Hasan and Özatay, Fatih (2009) The EU or national reform program for Turkey: does the political feasibility depend on the EU's absorption capacity? İktisat İşletme ve Finans, 24 (285). pp. 9-31. ISSN 1300-610X
Goltz, Felix and Martellini, Lionel and Şimşek, Koray Deniz (2008) Optimal static allocation decisions in the presence of portfolio insurance. Journal of Investment Management, 6 (2). ISSN 0095-4918
İnci, Ahmet Can (2007) Currency and yield co-integration between a developed and an emerging country: The case of Turkey. Bogazici Journal: Review of Social, Economic and Administrative Studies, 21 (1-2). pp. 1-20. ISSN 1300-9583
Malioutov, Dmitry M. and Çorum, Aycan Adrian and Çetin, Müjdat (2016) Covariance matrix estimation for interest-rate risk modeling via smooth and monotone regularization. IEEE Journal of Selected Topics in Signal Processing, 10 (6). pp. 1006-1014. ISSN 1932-4553 (Print) 1941-0484 (Online)
Mulvey, John M. and Şimşek, Koray Deniz and Zhang, Zhuojuan (2006) Improving investment performance for pension plans. Journal of Asset Management, 7 (2). pp. 93-108. ISSN 1470-8272
Mulvey, John M. and Şimşek, Koray Deniz and Zhang, Zhuojuan and Fabozzi, Frank J. and Pauling, William R. (2008) Assisting defined-benefit pension plans. Operations Research, 56 (5). pp. 1066-1078. ISSN 0030-364X
Nilsson, Ulf (2005) Uluslararası muhasebe ve finansal raporlama standartları. Hukuki Perspektifler Dergisi, 4 (August). pp. 45-52.
Orbay, Hakan (2007) Globalization and tradition in corporate governance in Turkey: problems and opportunities. AIB Insights, 7 (2). pp. 3-9. ISSN 1938-9590 (Print) 1938-9604 (Online)
Ronn, Ehud I. and Sayrak, Akın and Tompaidis, Stathis (2009) The impact of large changes in asset prices on intra-market correlations in the domestic and international markets. Financial Review, 44 (3). pp. 405-436. ISSN 0732-8516 (print) 1540-6288 (online)
Van Rijckeghem, Caroline and Weder, Beatrice (2003) Spillovers through banking centers: a panel data analysis of bank flows. Journal of international money and finance, 22 (4). pp. 483-509. ISSN 0261-5606
Papers in Conference Proceedings
Aksu, Mine Hatice and Önder, Türkan (2003) The Size and book-to-market effects and their role as risk proxies in the Istanbul Stock Exchange. In: European Financial Mangement 2000 annual meeting,
Ararat, Melsa and Claessens, Stijn and Yurtoğlu, Besim Burçin (2018) Synthesis Report: Sixth International Research Conference on Corporate Governance in Emerging Markets. In: 6th International Research Conference on Corporate Governance in Emerging Markets, Amsterdam, Netherlands
Şimşek, Koray Deniz (2010) "Türk usulü" portföy sigortası: anapara koruma amaçlı yatırım fonları (Portfolio insurance "alla Turca": capital-protected mutual funds). In: 14. Ulusal Finans Sempozyumu, Konya
Working Paper / Technical Report
Aksu, Mine Hatice (2006) Abandonment option value versus going-concern value in debt restructuring firms. [Working Paper / Technical Report] Sabanci University ID:SU_FMAN_2006/0001
Aksu, Mine Hatice (2006) Improvement in transparency and disclosure in the ISE: Did IFRS adoption and corporate governance principles make a difference. [Working Paper / Technical Report] Sabanci University ID:SU_FMAN_2006/0006
Aksu, Mine Hatice and Önder, Türkan (2004) Audior selection in the Istanbul Stock Exchange: An Empirical analysis. [Working Paper / Technical Report] Sabanci University ID:SU_FMAN_2004/0002
Aksu, Mine Hatice and Önder, Türkan and Saatçioğlu, Kemal (2007) Auditor selection, client firm characteristics, and corporate governance: evidence from an emerging market. [Working Paper / Technical Report] Sabanci University ID:SU_FMAN_2007/0001
Ararat, Melsa and Orbay, Hakan (2006) Corporate governance in Turkey: implications for investments and growth. [Working Paper / Technical Report] Sabanci University ID:SU_FMAN_2006/0003
Balic, Amra and Ararat, Melsa (2007) Turkish transparency and disclosure survey 2007: pace of improvement has slowed. [Working Paper / Technical Report] Sabanci University ID:SU_FMAN_2007/0012
Barlo, Mehmet and İnci, Eren (2010) Banks versus venture capital when the venture capitalist values private benefits of control. [Working Paper / Technical Report] Sabanci University ID:SU_FASS_2010/0003
Ben-Tahar, Imen and Soner, Halil Mete and Touzi, Nizar (2007) Modeling continuous-time financial markets with capital gains taxes. [Working Paper / Technical Report] Sabanci University ID:SU_FMAN_2007/0018
Çetin, Umut and Soner, Halil Mete and Touzi, Nizar (2007) Options hedging under liquidity costs. [Working Paper / Technical Report] Sabanci University ID:SU_FMAN_2007/0017
Book
Hudson, Michael and Öncü, Ahmet (2016) Absentee ownership and its discontents: critical essays on the legacy of Thorstein Veblen. ISLET (Institute for the Study of Long-term Economic Trends), London and New York. ISBN 978-3-9814842-7-4
Çakanyıldırım, Metin and Haksöz, Çağrı (2012) Global perspectives: Turkey. Council of Supply Chain Management Professionals, Lombard, IL. ISBN 978-0-9825348-3-0
Rijckeghem, Caroline Van and Üçer, Murat (2005) Chronicle of the Turkish financial crises of 2000-2001. Boğaziçi Üniversitesi, İstanbul. ISBN 9756193077
Book Section / Chapter
Atiyas, İzak and Ersel, Hasan (2010) Financial markets, regulation and financial crises. In: Scherzberg, Arno and Doğan, İlyas and Can, Osman, (eds.) Staatliche Finanzmarktregulierung und Eigentumsschutz. LIT Verlag Berlin, Berlin. ISBN 978-3-643-10929-3 ; 3643109296
Aysan, Ahmet Faruk and Ertek, Gürdal and Öztürk, Seçil (2011) Assessing the adverse effects of Interbank funds on bank efficiency through using semiparametric and nonparametric methods. In: Duygun Fethi, Meryem and Gaganis, Chrysovalantis and Pasiouras, Fotios and Zopounidis, Constantin, (eds.) Financial Services: Efficiency and Risk Management. Nova Science Pub Inc, New York, pp. 41-62. ISBN 1621005607 ; 9781621005605
Kim, Woo Chang and Mulvey, John M. and Şimşek, Koray Deniz and Kim, Min Jeong (2013) Longevity risk management for individual investors. In: Gassmann, Horand I. and Ziemba, William T., (eds.) Stochastic Programming: Applications in Finance, Energy, Planning and Logistics. World Scientific Series in Finance; 4. World Scientific, Singapore, pp. 9-41. ISBN 978-981-4407-50-2 (Print) 978-981-4407-52-6 (Online)
Mulvey, John M. and Bauerfeind, Thomas and Şimşek, Koray Deniz and Vural, Mehmet T. (2011) Performance enhancements for defined benefit pension plans. In: Bertocchi, Marida and Consigli, Giorgio and Dempster, Michael A.H., (eds.) Stochastic Optimization Methods in Finance and Energy: New Financial Products and Energy Market Strategies. International Series in Operations Research & Management Science, 163 (Part 1). Springer, New York, pp. 43-71.
Şimşek, Koray Deniz (2012) Introduction to stochastic programming and its applications to finance. In: Fabozzi, Frank J., (ed.) Encyclopedia of Financial Models. Wiley, Hoboken, NJ, pp. 123-135. ISBN 9781118006733 ; 1118006739
Şimşek, Koray Deniz (2008) Introduction to stochastic programming and its applications to finance. In: Fabozzi, Frank J., (ed.) Handbook of Finance: Valuation, Financial Modeling, and Quantitative Tools, Volume III. Wiley, Hoboken, NJ, USA, pp. 775-783. ISBN 978-0-470-04256-4