Publications: Prof Yaz Muradoglu
Preda A, Muradoglu G(2019).
Groups, social processes and decision making in finance. Qualitative Research in Financial Markets
vol. 11,
(4)
429-455.
Gogstad M, Kutan AM, Muradoglu YG(2018).
Do international institutions affect financial markets?: evidence from the Greek Sovereign Debt Crisis. European Journal of Finance
vol. 24,
(7-8)
584-605.
Sarwar SM, Lin SX, Murado¿lu YG(2018).
Impact of credit risk and business cycles on momentum returns. International Series in Operations Research and Management Science,
vol. 257,
Kutan AM, Murado¿lu YG, Yu Z(2016).
Worldwide impact of IMF policies during the Asian crisis: who does the IMF help, creditors or crisis countries?. Journal of Economic Policy Reform
vol. 19,
(2)
116-147.
Mobarek A, Muradoglu G, Mollah S, Hou AJ(2016).
Determinants of time varying co-movements among international stock markets during crisis and non-crisis periods. Journal of Financial Stability
vol. 24,
1-11.
Kutan AM, Murado¿lu YG(2016).
Financial and real sector returns, IMF-related news, and the Asian crisis. Finance Research Letters
vol. 16,
28-37.
MURADOGLU YG, Levis M, Vasileva K(2015).
Home Bias Persistence in Foreign Direct Investments. The European Journal of Finance
Aabo T, Hansen MA, Muradoglu YG(2015).
Foreign Debt Usage in Non-Financial Firms: A Horse Race between Operating and Accounting Exposure Hedging. European Financial Management
vol. 21,
(3)
590-611.
Alizadeh AH, Muradoglu G(2014).
Stock market efficiency and international shipping-market information. Journal of International Financial Markets, Institutions and Money
vol. 33,
445-461.
MURADOGLU YG(2014).
The impact of leverage on stock returns in the hospitality sector: evidence from the UK. Tourism Analysis
vol. 19,
(2)
161-171.
Fuertes AM, Muradoglu G, Ozturkkal B(2014).
A behavioral analysis of investor diversification. European Journal of Finance
vol. 20,
(6)
499-523.
Murado¿lu YG, Onay C, Phylaktis K(2014).
European integration and corporate financing. International Review of Financial Analysis
vol. 33,
138-157.
Kutan AM, Muradoglu G(2014).
Investor wealth, the IMF, and the Asian crisis. International Review of Financial Analysis
vol. 33,
130-137.
Sarwar SM, Muradoglu G(2013).
Macroeconomic risks, idiosyncratic risks and momentum profits. Borsa Istanbul Review
vol. 13,
(4)
99-114.
Muradoglu YG, Sivaprasad S(2013).
The effect of leverage mimicking portfolios in explaining stock returns variations. Studies in Economics and Finance
vol. 30,
(2)
94-107.
MURADOGLU YG, Sivaprasad, S(2012).
Capital structure and abnormal returns. International Business Review
vol. 21,
(3)
328-341.
MURADOGLU YG, Sivaprasad, S(2012).
Using Firm Level Leverage as an Investment Strategy. Journal of Forecasting
vol. 31,
(3)
260-279.
Fuertes A-M, Muradoglu G, Ozturkkal B(2012).
A behavioral analysis of investor diversification. European Journal of Finance
vol. Online only,
1-25.
Kutan AM, Muradoglu G, Sudjana BG(2012).
IMF programs, financial and real sector performance, and the Asian crisis. Journal of Banking and Finance
vol. 36,
(1)
164-182.
Muradoglu G, Harvey N(2012).
Introduction/guest editorial: Behavioural finance: The role of psychological factors in financial decisions. Review of Behavioral Finance
vol. 4,
(2)
68-80.
Lasfer M, Lin SX, Muradoglu G(2012).
Optimism in foreign investors. Review of Behavioral Finance
vol. 4,
(1)
8-27.
Murado¿lu YG, Sivaprasad S(2011).
Capital Structure and Returns. Capital Structure and Corporate Financing Decisions: Theory, Evidence, and Practice,
Kam A, Citron D, Muradoglu G(2010).
Financial distress resolution in China – two case studies. Qualitative Research in Financial Markets
vol. 2,
(2)
46-79.
Gulnur Muradoglu Y(2010).
The banking and financial crisis in the UK: what is real and what is behavioural?. Qualitative Research in Financial Markets
vol. 2,
(1)
6-15.
Kam A, Citron D, Muradoglu G(2008).
Distress and restructuring in China: Does ownership matter?. China Economic Review
vol. 19,
(4)
567-579.
MURADOGLU YG, DeBodt W, Shefrin H, Staikouras S(2008).
Behavioural Finance: Quo Vadis?. Journal of Applied Finance: theory, practice, education
Muradoglu G, Bakke M, Kvernes GL(2005).
An investment strategy based on gearing ratio. Applied Economics Letters
vol. 12,
(13)
801-804.
Taskin F, Muradoglu G(2003).
Financial liberalisation: From segmented to integrated economies. Journal of Economics and Business
vol. 55,
(5-6)
529-555.
MURADO¿LU G(2003).
Durgunluk. İktisat İşletme ve Finans
vol. 18,
(203)
25-26.
Muradog¿lu G(2002).
Portfolio managers' and novices' forecasts of risk and return: Are there predictable forecast errors?. Journal of Forecasting
vol. 21,
(6)
395-416.
Yazici B, Muradoglu G(2002).
Dissemination of Stock Recommendations and Small Investors: Who Benefits?.
vol. 6,
(1)
29-42.
MURADO¿LU G(2002).
Seçim Sonrası Türkiye Londra’dan Nasıl Görünüyor?. İktisat İşletme ve Finans
vol. 17,
(201)
10-12.
MURADO¿LU G(2002).
Seçim Tahminleri. İktisat İşletme ve Finans
vol. 17,
(198)
5-8.
MURADO¿LU G(2002).
Seçimleri Kim Kazanır?. İktisat İşletme ve Finans
vol. 17,
(200)
10-13.