Publications: Prof Yaz Muradoglu
Muradoglu G, Peng N, Qin H, Xia C
(
2024
)
.
Investor attention and market reactions to early announcements in mergers and acquisitions
.
International Review of Financial Analysis
vol.
91
,
Huyugüzel Kışla G, Muradoğlu YG, Önder AÖ
(
2022
)
.
Spillovers from one country’s sovereign debt to CDS (credit default swap) spreads of others during the European crisis: a spatial approach
.
Journal of Asset Management
vol.
23
,
(
4
)
277
-
296
.
Bas T, Muradoglu YG, Phylaktis K
(
2022
)
.
Capital Structures of Small Family Firms in Developing Countries
.
Review of Corporate Finance
vol.
2
,
(
4
)
745
-
790
.
Tosun OK, Eshraghi A, Muradoglu G
(
2021
)
.
Staring Death in the Face: The Financial Impact of Corporate Exposure to Prior Disasters
.
British Journal of Management
vol.
32
,
(
4
)
1284
-
1301
.
Hudson R, Muradoglu G
(
2021
)
.
Guest editorial
.
Review of Behavioral Finance
vol.
13
,
(
1
)
1
-
2
.
Izzeldin M, Muradoğlu YG, Pappas V, Sivaprasad S
(
2021
)
.
The impact of Covid-19 on G7 stock markets volatility: Evidence from a ST-HAR model
.
International Review of Financial Analysis
vol.
74
,
Hudson R, Muradoglu YG
(
2020
)
.
Personal routes into behavioural finance
.
Review of Behavioral Finance
vol.
12
,
(
1
)
1
-
9
.
Preda A, Muradoglu G
(
2019
)
.
Groups, social processes and decision making in finance
.
Qualitative Research in Financial Markets
vol.
11
,
(
4
)
429
-
455
.
Forner C, Muradoglu YG, Sivaprasad S
(
2018
)
.
Enhancing momentum investment strategy using leverage
.
Journal of Forecasting
vol.
37
,
(
5
)
573
-
588
.
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, Muradoǧlu YG
(
2018
)
.
Impact of credit risk and business cycles on momentum returns
.
International Series in Operations Research and Management Science
,
vol.
257
,
Kutan AM, Muradoğlu 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, Muradoğlu 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
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
.
Muradoǧlu 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
.
Aabo T, Hansen MA, Muradoglu YG
(
2013
)
.
Foreign Debt Usage in Non-Financial Firms: A Horse Race between Operating and Accounting Exposure Hedging
.
European Financial Management
vol.
21
,
(
3
)
590
-
611
.
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
.
Muradoǧlu 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
.
DeBondt W, Forbes W, Hamalainen P, Muradoglu YG
(
2010
)
.
What can behavioural finance teach us about finance?
.
Qualitative Research in Financial Markets
vol.
2
,
(
1
)
29
-
36
.
Salamouris IS, Muradoglu YG
(
2010
)
.
Estimating analyst's forecast accuracy using behavioural measures (Herding) in the United Kingdom
.
Managerial Finance
vol.
36
,
(
3
)
234
-
256
.
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
.
MURADOĞLU G
(
2003
)
.
Durgunluk
.
İktisat İşletme ve Finans
vol.
18
,
(
203
)
25
-
26
.
Yazici B, Muradoglu G
(
2002
)
.
Dissemination of Stock Recommendations and Small Investors: Who Benefits?
.
vol.
6
,
(
1
)
29
-
42
.
Muradog̃lu G
(
2002
)
.
Portfolio managers' and novices' forecasts of risk and return: Are there predictable forecast errors?
.
Journal of Forecasting
vol.
21
,
(
6
)
395
-
416
.
MURADOĞLU G
(
2002
)
.
Seçim Sonrası Türkiye Londra’dan Nasıl Görünüyor?
.
İktisat İşletme ve Finans
vol.
17
,
(
201
)
10
-
12
.
MURADOĞLU G
(
2002
)
.
Seçim Tahminleri
.
İktisat İşletme ve Finans
vol.
17
,
(
198
)
5
-
8
.
MURADOĞLU G
(
2002
)
.
Seçimleri Kim Kazanır?
.
İktisat İşletme ve Finans
vol.
17
,
(
200
)
10
-
13
.