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Research

Publications: Prof Yaz Muradoglu

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 .
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 .