Research
Behavioural Finance
Corporate Finance
Global Financial Markets
Early Evidence
Foreign Direct Investment, Foreign Direct Investments
Russian Ukrainian War
Financial Impact, Financial Impacts
Prior Disasters
Empirical Analysis
Firm Performance
Bayesian Network Analysis
Capital Structure, Capital Structures
Developing Countries
Emerging Markets, Emerging Market
European Crisis
Global Momentum
One Country
Bank Capital
Board Monitoring
Changing Behavior
Large Banks
Machine Learning Approach
Moderating Role
International Institute, International Institutions
Market Performance
Crisis Countries
Worldwide Impact
Behavior Analysis, Behavioral Analysis
Expected Utility
Hospitality Sector
Network Model
Price Formation
Psychological Factors
Distinct Roles, Distinctive Role
Investment Strategy
Business Cycle
Financial Crisis
Case Study, Case Studies
Small Firms
Behavioral Approach
Portfolio Managers
Tu Rkiye
World Markets
Integrated Economies
Early Warning Systems, Early Warning System
Systematic Risk
Empirical Investigation
Probabilistic Forecasting, Probabilistic Forecasts
International Integration
International Migration
Socio Economic Development
Stock Markets
Stock Exchange
Individual Investors
Exploratory Analysis
Universal Traits
Women Accounting
List of Publications (186)
In 2024
186
Bank capital, liquidity creation and the moderating role of bank culture: An investigation using a machine learning approach. LQT Nguyen, R Matousek, G Muradoglu Journal of Financial Stability 72, 101265, 2024.
Found on Publication Page
185
Stock returns, industry concentration and firm expenditure decisions. DS Kamuriwo, G Muradoglu, S Sivaprasad, I Malki Journal of Economics and Business, 106195, 2024.
Found on Publication Page
184
Investor attention and market reactions to early announcements in mergers and acquisitions. G Muradoglu, N Peng, H Qin, C Xia International Review of Financial Analysis 91, 102993, 2024.
Found on Publication Page
183
Foreign investors, firm level productivity, and European economic integration. W Bailey, G Muradoglu, C Onay, K Phylaktis Journal of Corporate Finance 85, 102564, 2024.
Found on Publication Page
182
The changing behavior of the European credit default swap spreads during the covid-19 pandemic: a bayesian network analysis. EN Cinicioglu, G Huyugu zel K s la, AO O nder, YG Muradog lu Computational Economics 63 (3), 1213-1254, 2024.
Found on Publication Page
181
Optimism in property markets. H Cosic, YG Muradoglu Quarterly Journal of Finance (QJF) 14 (02), 1-31, 2024.
Found on Publication Page
In 2023
180
Stock Returns, Industry Concentration and Firm Expenditure Decisions. S Sivaprasad, DS Kamuriwo, I Malki, YG Muradoglu Industry Concentration and Firm Expenditure Decisions (June 28, 2023), 2023.
Found on Publication Page
178
Bank Liquidity Creation and Bank Risk: Does Bank Culture Matter?. R Matousek, LQT Nguyen, YG Muradoglu Available at SSRN 4531619, 2023.
Found on Publication Page
177
The impact of the Russian-Ukrainian war on global financial markets. M Izzeldin, YG Muradog lu, V Pappas, A Petropoulou, S Sivaprasad International Review of Financial Analysis 87, 102598, 2023.
Found on Publication Page
176
Herding in foreign direct investment. M Levis, YG Muradog lu, K Vasileva International Review of Financial Analysis 86, 102503, 2023.
Found on Publication Page
175
Learning financial survival from disasters. OK Tosun, A Eshraghi, G Muradoglu Journal of International Financial Markets, Institutions and Money 85, 101778, 2023.
Found on Publication Page
174
The American spirit: The performativity of folk economics in global financial markets. E Tarim, A Gozluklu, G Muradoglu Environment and Planning A: Economy and Space 55 (8), 1906-1927, 2023.
Found on Publication Page
In 2022
172
Why does corporate social responsibility matter in cross-border M&A? Evidence from China. X Liu, G Muradoglu, N Peng Emerging Markets Grou p Working Paper Series, WP-EMG-06, 2022.
Found on Publication Page
171
Editorial on Professor Robert Hudson leaving the journal. R Hudson, G Muradoglu Review of Behavioral Finance 14 (5), 565-565, 2022.
Found on Publication Page
170
Brexit and its impact on EU financial markets. S Sivaprasad, YG Muradoglu, V Pappas, M Izzeldin 16th Annual Dynare Conference, 2022.
Found on Publication Page
169
CEO Short-Horizon Incentives and Early Announcements in Mergers and Acquisitions. G Muradoglu, N Peng, H Qin, C Xia .
Found on Publication Page
168
Investor Attention and Early Announcements in Mergers and Acquisitions. C Xia, YG Muradoglu, N Peng, H Qin Available at SSRN 4288783, 2022.
Found on Publication Page
167
Spillovers from one country's sovereign debt to CDS (credit default swap) spreads of others during the European crisis: a spatial approach. GH K s la, YG Muradog lu, AO O nder Journal of Asset Management 23 (4), 277, 2022.
Found on Publication Page
166
Global momentum: The optimal trading approach. A Wouassom, YG Muradog lu, N Tsitsianis Journal of Behavioral and Experimental Finance 36, 100756, 2022.
Found on Publication Page
165
Capital Structures of Small Family Firms in Developing Countries. T Bas, YG Muradoglu, K Phylaktis Bas, Tugba, Yaz Gulnur Muradoglu, and Kate Phylaktis, 2022.
Found on Publication Page
164
Board diversity and executive compensation. I Malki, S Mathew, YG Muradoglu, S Sivaprasad Available at SSRN 4301313, 2022.
Found on Publication Page
In 2021
163
The impact of Covid-19 on G7 stock markets volatility: Evidence from a ST-HAR model. S Sivaprasad, YG Muradoglu, M Izzeldin, V Pappas International Review of Financial Analysis 74, 2021.
Found on Publication Page
162
Investor Attention and Early Announcements in Mergers and Acquisitions. G Muradoglu, N Peng, H Qin, C Xia .
Found on Publication Page
161
The impact of Covid-19 on G7 stock markets volatility: Evidence from a ST-HAR model. M Izzeldin, YG Muradog lu, V Pappas, S Sivaprasad International Review of Financial Analysis 74, 101671, 2021.
Found on Publication Page
160
Staring death in the face: the financial impact of corporate exposure to prior disasters. OK Tosun, A Eshraghi, G Muradoglu British Journal of Management 32 (4), 1284-1301, 2021.
Found on Publication Page
In 2020
158
Personal routes into behavioural finance. R Hudson, YG Muradoglu Review of Behavioral Finance 12 (1), 1-9, 2020.
Found on Publication Page
157
How COVID-19 Affected the G7 Stock Markets: Early Evidence from a ST-HAR Model. M Izzeldin, YG Muradoglu, V Pappas, S Sivaprasad Available at SSRN, 2020.
Found on Publication Page
In 2019
156
Ultimate Control and Firm Performance An Empirical Analysis of Listed Firms in China. J Wang, G Muradoglu, D Bathia .
Found on Publication Page
155
Groups, social processes and decision making in finance. A Preda, G Muradoglu Qualitative Research in Financial Markets 11 (4), 429-455, 2019.
Found on Publication Page
In 2018
154
Groups, Social Processes and Decision Making in Finance. YG MURADOGLU, A Preda Qualitative Research in Financial Markets, 2018.
Found on Publication Page
153
Do international institutions affect financial markets?: evidence from the Greek Sovereign Debt Crisis. M Gogstad, AM Kutan, YG Muradoglu The European Journal of Finance 24 (7-8), 584-605, 2018.
Found on Publication Page
152
Enhancing momentum investment strategy using leverage. C Forner, YG Muradoglu, S Sivaprasad Journal of Forecasting 37 (5), 573-588, 2018.
Found on Publication Page
In 2016
151
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.
Found on Publication Page
150
Home bias persistence in foreign direct investments. M Levis, YG Muradog lu, K Vasileva The European Journal of Finance 22 (8-9), 782-802, 2016.
Found on Publication Page
149
Worldwide impact of IMF policies during the Asian crisis: who does the IMF help, creditors or crisis countries?. AM Kutan, YG Muradog lu, Z Yu Journal of Economic Policy Reform 19 (2), 116-147, 2016.
Found on Publication Page
148
Financial and real sector returns, IMF-related news, and the Asian crisis. AM Kutan, YG Muradog lu Finance Research Letters 16, 28-37, 2016.
Found on Publication Page
In 2015
147
Foreign Debt Usage in Non-Financial Firms: A Horse Race between Operating and Accounting Exposure Hedging. T Aabo, MA Hansen, YG Muradoglu European Financial Management 21 (3), 590-611, 2015.
Found on Publication Page
146
Foreign Debt Usage in Non F inancial Firms: a Horse Race between Operating and Accounting Exposure Hedging. T Aabo, MA Hansen, YG Muradoglu European Financial Management 21 (3), 590-611, 2015.
Found on Publication Page
145
Bank boards, CEO characteristics and performance: Evidence from large global banks during the crisis. H Hoque, G Muradoglu Working paper, 2015.
Found on Publication Page
144
The impact of firm internationalization on the relation between leverage and market performance. G Muradoglu, S Sivaprasad, GMW Ullah 22nd Annual Conference of the Multinational Finance Society, Halkidiki ..., 2015.
Found on Publication Page
In 2014
143
Opinion Dynamics and Price Formation: a Nonlinear Network Model. M D'Errico, G Muradoglu, S Stefani, G Zambruno arXiv preprint arXiv:1408.0308, 2014.
Found on Publication Page
142
Stock market efficiency and international shipping-market information. AH Alizadeh, G Muradoglu Journal of international financial markets, institutions and money 33, 445-461, 2014.
Found on Publication Page
141
A behavioral analysis of investor diversification. AM Fuertes, G Muradoglu, B Ozturkkal The European Journal of Finance 20 (6), 499-523, 2014.
Found on Publication Page
140
European integration and corporate financing. YG Muradog lu, C Onay, K Phylaktis International Review of Financial Analysis 33, 138-157, 2014.
Found on Publication Page
139
The impact of leverage on stock returns in the hospitality sector: Evidence from the UK. YG Muradog lu, S Sivaprasad Tourism Analysis 19 (2), 161-171, 2014.
Found on Publication Page
138
Investor wealth, the IMF, and the Asian crisis. AM Kutan, G Muradoglu International Review of Financial Analysis 33, 130-137, 2014.
Found on Publication Page
137
Determinants of Time-Varying Co-Movements among International Stock Markets. A Mobarek, G Muradoglu, S Mollah European Financial Management Association Meeting, Rome, 2014.
Found on Publication Page
136
Between fear and hope: Optimal portfolio choice in a model combining expected utility and safety first preferences. R Fairchild, G Muradoglu, X Chena Working Pa per. University of Bath/Queen Mary University of London ..., 2014.
Found on Publication Page
In 2013
135
Feedback, Framing, Personality and Risk Attitude--Experiments on Factors Affecting Financial Optimism. J Balasuriya, YG Muradoglu, P Ayton Available at SSRN 2307068, 2013.
Found on Publication Page
134
Is It Better to Be Optimistic?--Financial Optimism and Well-Being. J Balasuriya, YG Muradoglu, P Ayton Financial Optimism and Well-Being (July 1, 2013), 2013.
Found on Publication Page
133
How does a firm's capital structure affect stock performance?. R Adami, O Gough, YG Muradoglu, S Sivaprasad Frontiers in Finance and Economics 12 (1), 1-31, 2013.
Found on Publication Page
132
The effect of leverage mimicking portfolios in explaining stock returns variations. Y Gulnur Muradoglu, S Sivaprasad Studies in Economics and Finance 30 (2), 94-107, 2013.
Found on Publication Page
131
Macroeconomic risks, idiosyncratic risks and momentum profits. SM Sarwar, G Muradoglu Borsa Istanbul Review 13 (4), 99-114, 2013.
Found on Publication Page
130
Ownership concentration, IFRS adoption and earnings quality: evidence from an emerging market. MH Aksu, YG Muradoglu, A Tansel Cetin IFRS Adoption and Earnings Quality: Evidence from an Emerging Market (August ..., 2013.
Found on Publication Page
In 2012
129
Behavioural finance: the role of psychological factors in financial decisions. G Muradoglu, N Harvey Review of behavioural Finance 4 (2), 68-80, 2012.
Found on Publication Page
128
Capital structure and abnormal returns. YG Muradog lu, S Sivaprasad International Business Review 21 (3), 328-341, 2012.
Found on Publication Page
127
Capital structure and debt maturity choices of firms in developing countries. T Bas City University London, 2012.
Found on Publication Page
126
Optimism in foreign investors. M Lasfer, SX Lin, G Muradoglu Review of Behavioural Finance 4 (1), 8-27, 2012.
Found on Publication Page
125
Capital structure and abnormal returns. S Sivaprasad, YG Muradoglu International Business Review 21 (3), 328-341, 2012.
Found on Publication Page
In 2011
123
Capital structure and corporate financing decisions: theory, evidence, and practice. HK Baker, GS Martin John Wiley & Sons, 2011.
Found on Publication Page
122
IMF programs, financial and real sector performance, and the Asian crisis. AM Kutan, G Muradoglu, BG Sudjana Journal of Banking & Finance, 2011.
Found on Publication Page
121
Stock market returns and shipping freight market information: Yet another puzzle!. AH Alizadeh, YG Muradoglu Available at SSRN 1905590, 2011.
Found on Publication Page
120
Capital structure and returns. G Muradoglu, S Sivaprasad Capital Structure and Corporate Financing Decisions: Theory, Evidence, and ..., 2011.
Found on Publication Page
119
The distinctive role of foreign debt in foreign exchange risk management. T Aabo, MA Hansen, YG Muradoglu European Financial Management Association 2011 Annual Meeting, Braga ..., 2011.
Found on Publication Page
In 2010
117
Behavioural perspectives on the crisis. W Forbes, P Hamalainen, Y Gulnur Muradoglu Qualitative Research in Financial Markets 2 (1), 2010.
Found on Publication Page
116
Capital Structures around the world: Are small firms different?. T Bas, YG Muradoglu, K Phylaktis .
Found on Publication Page
115
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.
Found on Publication Page
113
The banking and financial crisis in the UK: what is real and what is behavioural?. YG Muradoglu Qualitative Research in Financial Markets 2 (1), 6, 2010.
Found on Publication Page
112
Estimating analyst's forecast accuracy using behavioural measures (Herding) in the United Kingdom. IS Salamouris, Y Gulnur Muradoglu Managerial Finance 36 (3), 234-256, 2010.
Found on Publication Page
111
Financial distress resolution in China-two case studies. A Kam, D Citron, G Muradoglu Qualitative Research in Financial Markets 2 (2), 46-79, 2010.
Found on Publication Page
110
The leverage effect on stock returns. S Sivaprasad, YG Muradoglu, O Gough, R Adami Available at SSRN 1690183, 2010.
Found on Publication Page
109
'Near-Home Bias' in Foreign Direct Investments. YG Muradoglu, M Levis, K Vasileva Available at SSRN 1359168, 2010.
Found on Publication Page
108
Momentum, Credit Risk and Business Cycles. S Munira, YG Muradoglu Available at SSRN 1564082, 2010.
Found on Publication Page
107
Is it Better to be Optimistic. J Balasuriya, YG Muradoglu, P Ayton Financial Optimism and Well-being, 2010.
Found on Publication Page
In 2009
105
Determinants of Capital Structure in Developing Countries. T Bas, G Muradoglu, K Phylaktis Cass Business School, London EC1Y 8TZ, UK, 2009.
Found on Publication Page
104
Using Firm Level Leverage as an Investment Strategy. YG Muradog lu, S Sivaprasad Journal of Forecasting, 2009.
Found on Publication Page
103
Determinants of Capital Structure in Emerging Markets. T Bas, G Muradoglu, K Phylaktis European Financial Management Symposium, First draft, Cass Business School ..., 2009.
Found on Publication Page
102
Leverage, stock returns, taxes and industry concentration. S Sivaprasad, YG Muradoglu Available at SSRN 1031987, 2009.
Found on Publication Page
101
Using firm level leverage as an investment strategy. S Sivaprasad, YG Muradoglu Available at SSRN 1031198, 2009.
Found on Publication Page
99
I ngiltere'de 2008 Krizi: Neler Reel, Neler Davran s sal?. G MURADOG LU Leaders, www. mgmt. boun. edu. tr/images/stories/dokumanlar/leaders/.../09 ..., 2009.
Found on Publication Page
In 2008
98
Home Bias in Foreign Direct Investments. G Muradoglu, K Vasileva London, ESDS International Annual Conference, London 1 (12), 2008, 2008.
Found on Publication Page
97
Can Common Components Eliminate Momentum Returns?. S Munira, YG Muradoglu, S Hwang Available at SSRN 1130612, 2008.
Found on Publication Page
96
Behavioral finance: Quo vadis?. W De Bondt, G Muradoglu, H Shefrin, SK Staikouras Journal of Applied Finance 18 (2), 7-21, 2008.
Found on Publication Page
95
Distress and restructuring in China: Does ownership matter?. A Kam, D Citron, G Muradoglu China Economic Review 19 (4), 567-579, 2008.
Found on Publication Page
94
An empirical test on leverage and stock returns. G Muradoglu, S Sivaprasad Working Paper, Cass Business School, London, 2008.
Found on Publication Page
92
MOMENTUM IN CREDIT RATED STOCKS: IS MOMENTUM INVESTORS'REACTION TO UNCERTAINTY ACROSS BUSINESS CYCLE?. S Munira, G Muradoglu City University, 2008.
Found on Publication Page
91
Decomposition of Momentum Return: Which Component Contributes Most?. S Munira, YG Muradoglu, S Hwang Available at SSRN 1130610, 2008.
Found on Publication Page
In 2007
90
Capital Structure and Expected Stock Returns. S Sivaprasad, YG Muradoglu Available at SSRN 1031198, 2007.
Found on Publication Page
89
Market Behaviour of Foreign versus Domestic Investors Following a Period of Stressful Circumstances. M Lasfer, S Lin, YG Muradoglu Available at SSRN 971993, 2007.
Found on Publication Page
88
"NEAR-HOME BIAS" IN FOREIGN DIRECT INVESTMENTS. M Levis, G Muradoglu, K Vasileva New York, NY: Mimeo, 2007.
Found on Publication Page
In 2005
87
A behavioral approach to efficient portfolio formation. YG Muradoglu, A Altay-Salih, M Mercan The Journal of Behavioral Finance 6 (4), 202-212, 2005.
Found on Publication Page
86
An investment strategy based on gearing ratio. G Muradoglu, M Bakke, GL Kvernes Applied Economics Letters 12 (13), 801-804, 2005.
Found on Publication Page
In 2003
84
Yeni Du nya Du zeninde Bir Tu rkiye Vizyonu. G MURADOG LU I ktisat I s letme ve Finans 18 (211), 68-70, 2003.
Found on Publication Page
82
Du nyada Sorun Ne? Tu rkiye''de Sorun Ne?. G MURADOG LU I ktisat I s letme ve Finans 18 (207), 38-40, 2003.
Found on Publication Page
81
C in Ve Yeni Demokrasi. G MURADOG LU, R Bi ldi k I ktisat I s letme ve Finans 18 (206), 5-7, 2003.
Found on Publication Page
80
Savas n Maliyeti. G Muradog lu, G MURADOG LU I ktisat I s letme ve Finans 18 (204), 67-69, 2003.
Found on Publication Page
78
Trends in market reactions: stock dividends and rights offerings at Istanbul stock exchange. G Muradog lu, K Aydog an The European Journal of Finance 9 (1), 41-60, 2003.
Found on Publication Page
77
Financial liberalisation: from segmented to integrated economies. F Taskin, G Muradoglu Journal of economics and business 55 (5-6), 529-555, 2003.
Found on Publication Page
76
Would You Follow MM or a Profitable Trading Strategy?. B Baturevich, G Muradoglu Frontiers in Finance and Economics 7 (2), 69-89, 2003.
Found on Publication Page
75
'Overreaction to Daily Price Limits in the Istanbul Stock Exchange. MB Karan, SA Tarim, G Muradoglu Unpublished paper, 2003.
Found on Publication Page
74
Measuring the Systematic Risk of IPO's Using Empirical Bayes Estimates in the Thinly Traded Istanbul Stock Exchange. Y Muradoglu, A Zaman, M Orhan .
Found on Publication Page
72
Argentine and Turkish Financial Crises: Is it Possible to Devise an Early Warning System?. G Muradoglu, M Feridun International Finance Discussion, 2003.
Found on Publication Page
In 2002
71
Turkey in the financial liberalization process (I)-Guest editor's introduction. G Muradoglu, F Taskin EMERGING MARKETS FINANCE AND TRADE 38 (5), 3-5, 2002.
Found on Publication Page
70
Sec im Sonras Tu rkiye Londra'dan Nas l Go ru nu yor?. G MURADOG LU I ktisat I s letme ve Finans 17 (201), 10-12, 2002.
Found on Publication Page
65
Vergi Salarak Sec im Kazanmak Mu mku n mu ?. G MURADOG LU I ktisat I s letme ve Finans 17 (195), 9-12, 2002.
Found on Publication Page
63
Dissemination of Stock recommendations and small investors: Who benefits. B Yazici, G Muradog lu Multinational Finance Journal 6 (1), 29-42, 2002.
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62
Portfolio managers' and novices' forecasts of risk and return: are there predictable forecast errors?. G Muradoglu Journal of Forecasting 21 (6), 395-416, 2002.
Found on Publication Page
61
Performance of the efficient frontier in an emerging market setting. A Altay-Salih, G Muradoglu, M Mercan Applied Economics Letters 9 (3), 177-183, 2002.
Found on Publication Page
60
Globalizasyon, Du nya ile Bu tu nles me ve Kriz: Finansal Liberalizasyon ile Nas l Bas a C k l r?. G Muradog lu Active Dergisi, 2002.
Found on Publication Page
59
Security Recommendations, Small Investors and Insiders. G Muradoglu, B Yazici Multinational Finance Journal 6, 29-42, 2002.
Found on Publication Page
In 2001
57
Domestic versus International Integration in the Process of Financial Liberalisation. F Taskin, YG Muradoglu CUBS Faculty of Finance Working Paper, 2001.
Found on Publication Page
56
Do Extreme Falls Help Forecasting Stock Returns? International Evidence. E Basci, S Basci, YG Muradoglu International Evidence (October 2001). CUBS Faculty of Finance Working Paper, 2001.
Found on Publication Page
55
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.
Found on Publication Page
54
Socio economic development and international migration: a Turkish study. A Icduygu, I Sirkeci, G Muradoglu International Migration 39 (4), 39-61, 2001.
Found on Publication Page
52
Forecasting integrated stock markets using international co-movements. K Metin, G Muradoglu Russian and East European Finance and Trade 37 (5), 45-63, 2001.
Found on Publication Page
In 2000
50
Do Extreme Falls Help Forecasting Stock Returns? Evidence From World Markets. E Basci, S Basci, GY Muradoglu Department of Economics, Bilkent University Working Papers, 2000.
Found on Publication Page
49
Security market imperfections in worldwide equity markets. DB Keim, WT Ziemba Cambridge Univ Pr, 2000.
Found on Publication Page
48
Forecasting stock prices by using alternative time series models. K Metin, G Muradoglu Istanbul Stock Exchange Review 4 (13), 17-24, 2000.
Found on Publication Page
In 1999
47
Information Content of Analysts' Earnings Forecasts in an Emerging Market: The Case of Turkey. H Saraoglu, G Muradoglu Topics in Middle Eastern and North African Economies 1, 1999.
Found on Publication Page
46
Hisse Senedi Fiyatlarmin Cesitli Zaman Serisi Modelleriyle Yapilmis Ongorusu: Istanbul Menkul Kiymetler Borsasi Ornegi. A Metin, G Muradoglu METU STUDIES IN DEVELOPMENT 26 (1/2), 163-178, 1999.
Found on Publication Page
45
Financial crisis and changes in determinants of risk and return: An empirical investigation of an emerging market (ISE). G Muradoglu, H Berument, K Metin Multinational Finance Journal 3 (4), 223-252, 1999.
Found on Publication Page
44
An empirical investigation of stock returns and determinants of risk in an emerging market: GARCH-M modeling at ISE. G Muradoglu, H Berument, K Metin Multinational Finance Journal 3 (4), 223-252, 1999.
Found on Publication Page
43
""Are There Trends in Market Reactions?: Stock Dividends and Rights Offerings at Istanbul Stock Exchange , Warwick Business School. G Muradog lu, KG Aydog an Accounting and Finance Group Work, United Kingdom, 1999.
Found on Publication Page
42
Hisse senedi fiyatlar n n c es itli zaman serisi modelleriyle yap lm s o ngo ru su : I stanbul Menkul K ymetler Borsas o rneg i. AO O nder, K Metin, G Muradog lu ODTU I ktisadi ve I dari Bilimler Faku ltesi, 1999.
Found on Publication Page
In 1998
41
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.
Found on Publication Page
40
The effect of the establishment of an organized exchange on weak form efficiency: The case of Istanbul Gold Exchange. G Muradoglu, N Akkaya, J Chafra The European Journal of Finance 4 (1), 85-92, 1998.
Found on Publication Page
39
Are there trends toward efficiency for emerging markets? Cointegration between stock prices and monetary variables at Istanbul Stock Exchange. G Muradoglu, K Metin, R Argac Applied Financial Economics, 1998.
Found on Publication Page
38
An empirical investigation of stock returns and determinants of risk in an emerging market: Istanbul Stock Exchange. G Muradoglu, H Berument, K Metin IFAC Proceedings Volumes 31 (16), 23-28, 1998.
Found on Publication Page
In 1997
37
An analysis of the "Day of the Week Effect" on the Istanbul Stock Exchange. K Metin, G Muradoglu, B Yazici Istanbul Stock Exchange Review 1 (4), 15-26, 1997.
Found on Publication Page
36
I stanbul Menkul K ymetler Borsas 'nda Gu n Etkilerinin I ncelenmesi. K METI N, G MURADOG LU, B YAZICI IMKB Dergisi 1 (4), 15-25, 1997.
Found on Publication Page
In 1996
35
Differences in household savings behavior: Evidence from industrial and developing countries. G Muradoglu, F Taskin The Developing Economies 34 (2), 138-153, 1996.
Found on Publication Page
34
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.
Found on Publication Page
33
Effects of task format on probabilistic forecasting of stock prices. D O nkal, G Muradoglu International Journal of Forecasting 12 (1), 9-24, 1996.
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32
Tu rkiye'de Muhasebe ve Finans Dal ndaki Bilim Kad nlar n n I s ve Aile Rolleri ile Bas etme Stratejileri'. D Cindog du, G Muradog lu Akademik Yas amda Kad n, 244-260, 1996.
Found on Publication Page
31
Muhasebe ve finans dal ndaki bilim kad nlar n n is ve aile rolleri ile bas etme stratejileri. D Cindog lu, G Muradog lu H. Cos kun.(der.) Akademik Yas amda Kad n ic inde, 244-250, 1996.
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In 1995
30
Effects of feedback on probabilistic forecasts of stock prices. D O nkal, G Muradog lu International Journal of Forecasting 11 (2), 307-319, 1995.
Found on Publication Page
In 1994
29
DO WOMEN ACCOUNTING STUDENTS OUTPERFORM MEN? A QUEST FOR UNIVERSAL TRAITS. G Muradog lu, CS Mug an, D Cindog lu Hacettepe U niversitesi I ktisadi ve I dari Bilimler Faku ltesi Dergisi 12, 159-173, 1994.
Found on Publication Page
28
An exploratory analysis of portfolio managers' probabilistic forecasts of stock prices. G Muradog lu, D O nkal Journal of Forecasting 13 (7), 565-578, 1994.
Found on Publication Page
27
Weak form efficiency in the thinly traded Istanbul Securities Exchange. G Muradoglu, M Unal The Middle East Business and Economic Review 6 (2), 37-44, 1994.
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26
Evaluating probabilistic forecasts of stock prices in a developing stock market. D Onkal, G Muradoglu European Journal of Operational Research 74 (2), 350-358, 1994.
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In 1993
25
Tu rk Hisse Senedi Piyasasinda Zayif Etkinlik: Takvim Anomalileri. G Muradog lu, T Oktay Hacettepe U niversitesi I ktisadi ve I dari Bilimler Faku ltesi Dergisi 11, 51-62, 1993.
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24
Calendar anomalies at Istanbul stock exchange. G Muradoglu, FT Oktay Hacettepe University Faculty of Business Administration Journal 11, 41-62, 1993.
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In 1992
23
Tu rk hisse senedi piyasas nda yar -gu c lu etkinlik. G Muradog lu, D O nkal METU Studies in Development 19 (2), 197-207, 1992.
Found on Publication Page
22
Semi-strong form of efficiency in the Turkish stock market. G Muradoglu, D Onkal METU Studies in Development 19 (2), 197-208, 1992.
Found on Publication Page
21
Turk hisse senedi piyasasinda yari guclu etkinlik. G Muradoglu, D Onkal Semi-strong form efficiency in the Turkish stock market), METU Studies in ..., 1992.
Found on Publication Page
20
Factors influencing demand for stocks by individual investors. G Muradoglu Proceedings of Izmir Iktisat Kongresi 1, 1992.
Found on Publication Page
Unspecified
19
IS THRER A LONG RUN RELATIONSHIP BETWEEN STOCK RETURNS AND MONEYTARY VARIABLES. G MURADOGLU, K METIN, R ARGES APPLIED FINANICAL ECONOMICS 20 (5), 641-649, 0.
Found on Publication Page
18
Overconfidence in Financial Decision Making: Comparative Insights from Individual and Group Decision-Making. M Kano, YG Muradoglu, J Olukuru Available at SSRN 4854530, 0.
Found on Publication Page
17
Ultimate Control and Firm Performance: An Empirical Analysis of State Firms in China. D Bathia, YG Muradoglu, J Wang Available at SSRN 4818783, 0.
Found on Publication Page
16
Strategic Risk Taking, Executive Compensation and Financial Performance. D Bathia, YG Muradoglu, R Yusuf Executive Compensation and Financial Performance, 0.
Found on Publication Page
15
DISPOSITION EFFECT IN GROUP VERSUS INDIVIDUAL FINANCIAL DECISION-MAKING. M OMUYOMA, R MUDIDA, G MURADOGLU .
Found on Publication Page
9
THE IMPACT OF FUTURES TRADING OVER SPOT MARKET INTRADAY VOLATILITY: EVIDENCE FROM AN EMERGING MARKET, BORSA ISTANBUL. G MURADOGLU, M OKUR, G CAGIL, E KIRAN .
Found on Publication Page
7
Global Contrarian strategy: Equilibrium of endogenous trading?. A Wouassom, G Muradoglu, N Tsitsianis .
Found on Publication Page
6
The Value Effects of Changes in Leverage: Evidence from the Travel and Leisure Sector. R Adami, T Bas, G Muradoglu, S Sivaprasad, S van Dellen .
Found on Publication Page
3
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.
Found on Publication Page
2
Yaz c , B.(1997). M K v lc m, G Muradog lu I stanbul Menkul K ymetler Borsas 'nda Haftan n Gu nleri Etkisi. I MKB Dergisi ..., 0.
Found on Publication Page
1
B. Yaz c (1997),"An Analysis of Day of the Week Effect on the ISE". K Metin, G Muradog lu ISE Review 1 (2), 15-27, 0.
Found on Publication Page