FACULTY OF BUSINESS

Department of International Trade and Finance

Academic Publications

Published or accepted to be published in journals covered by SCI, SSCI or AHCI

National

  • C. Coşkun Küçüközmen and Sühan Altay.
    (2008) Linear and non-linear dependence in the stock market returns: Validity check of the weak-form efficient market hypothesis.
    Yapı Kredi Economic Review , Vol. 19, No. 2, 45-62, ISBN: 1019-1232

International

  • Berna Aydogan and Gülin Vardar.
    (2020) Evaluating the role of renewable energy, economic growth and agriculture on CO2 emission in E7 countries, International Journal of Sustainable Energy.
    International Journal Of Sustainable Energy , Vol. 39, No. 4, 335-348,
  • Hasan Baklacı , Berna Aydoğan and Tezer Yelkenci.
    (2020) Impact Of Stock Market Trading On Currency Market Volatility Spillovers.
    Research In International Business And Finance , No. 52,
  • Dilvin Taşkın , Gülin Vardar and Berna Okan.
    (2020) Does Renewable Energy Promote Green Economic Growth In Oecd Countries?.
    Sustainability Accounting, Management And Policy Journal , Vol. 11, No. 4, 771-798,
  • Gülin Vardar , Berna Aydoğan.
    (2019) Return and volatility spillovers between Bitcoin and other asset classes in Turkey", .
    EuroMed Journal Of Business , Vol. 14, No. 3, 209-220,
  • Gülin Vardar , Berna Aydogan.
    (2019) Return and volatility spillovers between Bitcoin and other asset classes in Turkey: Evidence from VAR-BEKK-GARCH approach.
    Euromed Journal Of Business , Vol. 14, No. 3,
  • Berna Aydoğan , Gülin Vardar.
    (2018) Volatility Transmission Between Housing and Stock Markets in Europe: A Multivariate Garch Perspective.
    Ege Academic Review , Vol. 18, No. 4, 619-629,
  • Birce Dobrucalı.
    (2018) Country-of-Origin Effects on Industrial Purchase Decision Making: A Systematic Review of Research.
    Journal Of Business And Industrial Marketing ,
  • G. Vardar , Y. Coşkun and T. Yelkenci.
    (2018) Shock transmission and volatility spillover in stock and commodity markets: evidence from advanced and emerging markets.
    Eurasian Economic Review , Vol. 8, No. 2, 231-288,
  • G. Vardar , B. Aydoğan.
    (2018) Volatility Transmission Between Housing and Stock Markets In Europe: A Multivariate Garch Perspective.
    Ege Academic Review , Vol. 18, No. 4, 619-629,
  • Derya Ezgi-Kayalar , C. Coşkun Küçüközmen and A.Sevtap Selçuk-Kestel.
    (2017) The impact of crude oil prices on financial market indicators: copula approach.
    Energy Economics , Vol. 61, 162-173,
  • Berna Aydoğan , Gökçe Tunç and Tezer Yelkenci.
    (2017) Impact Of Oil Price Volatility On Net-Oil Exporter And Importer Countries Stock Markets.
    Eurasian Economic Review , Vol. 7, 231-253,
  • Berna Aydoğan.
    (2017) Sentiment Dynamics And Volatility Of International Stock markets.
    Eurasian Business Review , Vol. 7,
  • Gülin Vardar , Berna Aydoğan and Ünal Seven.
    (2014) The impact of crisis on the competitive conditions in the banking industry: Evidence from Turkey as an Emerging Market.
    İktisat, İşletme Ve Finans ,
  • Gülin Vardar , Berna Aydoğan and Ünal Seven.
    (2014) The Competitive Conditions of the Banking Industry in the Post-Crisis Period: Analysis of Turkish Banks.
    İktisat, İşletme, Finans , Vol. 39, No. 339, 49-68,
  • İ. Hakan Yetkiner , C. Coşkun Küçüközmen.
    (2012) Crisis and Recovery in Emerging Markets.
    Emerging Markets Finance & Trade , Vol. 48, No. 4, 3-6,
  • Cengiz Erol , Hasan Baklacı and Gülin Vardar.
    (2012) The impact of changes in ownership structure after 2011 crisis on bank performance in Turkey.
    Actual Problems Of Economics , Vol. 10, No. 136, 418-428,
  • Saadet Kasman , Gülin Vardar and Gökçe Tunç.
    (2011) The impact of interest rate and exchange rate volatility on banks' stock returns and volatility: Evidence from Turkey.
    Economic Modelling , Vol. 28, 1328-1334,
  • Hasan F. Baklacı , Gökçe Aksoy , Berna Okan and Gülin Vardar.
    (2011) The impact of firm-specific public news on intraday market dynamics: Evidence from Turkish stock market.
    Emerging Markets Trade And Finance , Vol. 47, No. 6, 99-119,
  • Adnan Kasman , Gokce Tunc , Gulin Vardar and Berna Okan.
    (2010) Consolidation and commercial bank net interest margins: Evidence from the old and new European Union members and candidate countries .
    ECONOMIC MODELLING , Vol. 27, No. 3, 648-655, ISBN: 0264-9993
  • Hulya TUTEK , Gulin VARDAR , Gokce TUNC and Berna AYDOGAN.
    (2010) Finansal risk algılamalarında cinsiyet farklılığının etkisi.
    İktisat İşletme Ve Finans , Vol. 25, No. 292, 47-70, ISBN: 1300-610X
  • C. Coşkun Küçüközmen , Richard D. F. Harris , Fatih Yılmaz.
    (2004) Skewness in the Conditional Distribution of Daily Equity Returns.
    Applied Financial Economics , Vol. 14, No. 3, 195-202, ISBN: 0960–3107
  • C. Coşkun Küçüközmen , Richard D. F. Harris.
    (2001) Linear and Non-linear Dependence in Turkish Equity Returns and its Consequences for Financial Risk Management.
    European Journal Of Operational Research , Vol. 134, No. 3, 481-492, ISBN: 0377-2217
  • C. Coşkun Küçüközmen , Richard D. F. Harris.
    (2001) The Empirical Distribution of UK and US Stock Returns.
    Journal Of Business, Finance And Accounting , Vol. 28, No. 5/6, 715-740, ISBN: 0306-686X
  • C. Coşkun Küçüközmen , Richard D. F. Harris.
    (2001) The Empirical Distribution of Stock Returns: Evidence from an Emerging European Market.
    Applied Economics Letters , Vol. 8, No. 6, 367-371, ISBN: 1350-4851

Published or accepted to be published in journals covered by other indexes

National

  • Berna Aydoğan , Gulin Vardar.
    (2015) Yatırımcı Duyarlılığının Borsa İstanbul Sektör Endeks Getirileri Üzerine Etkisi.
    Maliye Ve Finans Yazıları ,
  • C. Coşkun Küçüközmen , Nadi Serhan Aydın.
    (2010) Stress-testing of energy related derivative instruments based on conditional market risk models.
    Enerji Piyasa Ve Düzenleme Dergisi (Energy Market And Regulation) , Vol. 1, No. 2, 121-144, ISBN: 1308-8300
  • C. Coşkun Küçüközmen , Murat Mazıbaş.
    (2005) Finansal riskten korunma fonları (Hedge Funds).
    Finans-Politik Ve Ekonomik Yorumlar (Finance, Politics And Economic Reviews) , Vol. 42, 25-42, ISBN: 1307-7112

International

  • Gülin Vardar , Gülüzar Kurt Gümüş , Mehmet Erdem Delice.
    (2018) The Impact of Oil Price Shocks on Sector Indices: Evidence from Borsa İstanbul.
    Business And Economics Research Journal , Vol. 9, No. 2, 271-289,
  • Gülin Vardar , Yener Coşkun.
    (2016) Exploring the Finance-Growth Volatility Nexus: Evidence from Developed, Developing and Transition Countries.
    International Journal Of Economic Perspectives , Vol. 10, No. 1, 86-115,
  • Gülin Vardar.
    (2015) Bank Competition, Concentration and Risk-Taking in the Turkish Banking Industry.
    Journal Of Business, Economics And Finance , Vol. 4, No. 3, 536-567,
  • Gülin Vardar , İsmail Cem Özgüler.
    (2015) Short Term and Long Term Linkages among Nonperforming Loans, Macroeconomic and Bank-Specific Factors: An Empirical Analysis for Turkey.
    Ege Akademik Bakış , Vol. 15, No. 3, 313-325,
  • Berna Aydoğan , İstemi Berk.
    (2015) Crude Oil Price Shocks and Stock Returns: Evidences from Turkish Stock Market under Global Liquidity Conditions.
    International Journal Of Energy Economics And Politics ,
  • Berna Aydoğan , Gülin Vardar , Gökçe Tunç.
    (2014) The Interaction of Mutual Fund Flows and Stock Returns: Evidence from the Turkish Capital Market.
    Ege Akademik Bakış , Vol. 14, No. 2, 163-173,
  • Cengiz Erol , Hasan Baklacı , Berna Aydoğan and Gökçe Tunç.
    (2014) Performance Comparıson of Islamıc (Partıcıpatıon) Banks And Commercıal Banks in Turkey.
    EuroMed Journal Of Business ,
  • Cengiz Erol , Ünal Seven , Berna Aydoğan and S. Tunç.
    (2013) The Impact of Financial Restructuring after 2001 Turkey Crisis on the Risk Determinants of Turkish Commercial Bank Stocks.
    International Journal Of Economic Perspectives ,
  • Gülin Vardar.
    (2013) Efficiency and stock performance of banks in transition countries: Is there a relationship?.
    International Journal Of Economics And Financial Issues , Vol. 3, No. 2, 355-369,
  • Berna Aydoğan.
    (2013) Intraday Volatility in the Turkish Derivatives Market.
    International Review Of Business Research Papers , Vol. 9, No. 1, 73-87,
  • Gülin Vardar.
    (2012) Accounting and Capital Market Measures of Risk: Evidence from Central and Eastern European Banks.
    Journal Of Money, Investment And Banking , Vol. 26, 162-171,
  • Gülin Vardar , Gökçe Tunç , Berna Aydoğan.
    (2012) Long-Run And Short-Run Dynamics Among The Sectoral Stock Indices: Evidence From Turkey.
    Asian Economic And Financial Review , Vol. 2, No. 2, 347-357, ISBN: 2222-6737
  • Adnan Kasman , Berna Okan , Edost Torun.
    (2010) Long memory in spot market volatility and futures trading volume: Evidence from the Turkish stock market .
    International Journal Of Statistics And Economics , Vol. 5, No. A10, ISBN: 0975-556X
  • Adnan Kasman , Gulin Vardar , Berna Okan and Gokce Aksoy.
    (2009) The Turkish Stock Market Integration with Developed and Emerging Countries' Stock Markets: Evidence from Cointegration Tests with and without Regime Shifts.
    Review Of Middle East Economics And Finance , Vol. 5, No. 2, ISBN: 10.2202/1475-3693.11
  • Berna Okan , Onur Olgun , Sefa Takmaz.
    (2009) Volume and Volatility A Case of ISE-30 Index Futures.
    International Research Journal Of Finance And Economics , No. 32,
  • Gülin Vardar , Gökçe Aksoy , Emre Can.
    (2008) Effects of Interest and Exchange Rate on Volatility and Return of Sector Price Indices at Istanbul Stock Exchange.
    European Journal Of Economics, Finance And Administrative Sciences , No. 11, 126-135, ISBN: 1450-2275

Published or accepted to be published in refereed journals

National

  • C. Coşkun Küçüközmen.
    (2012) 2011'i Geride Bırakırken Finansal Kriz, AB ve Türkiye.
    Maliye Finans Yazıları , Vol. 26, No. 94, 23-42,
  • C. Coşkun Küçüközmen.
    (2007) Serbest Yatırım Fonları (Hedge Funds).
    Uluslararası Ekonomik Sorunlar (International Economic Issues) , Vol. 27, No. 7, 35-42, ISBN: 1306-8431
  • C. Coşkun Küçüközmen.
    (1999) Bankacılıkta Risk Yönetimi Ve Sermaye Yeterliliği Value At Risk Uygulamaları (Risk Management in Banking and Capital Adequacy: Implementation of VaR Models).
    İktisat, İşletme Ve Finans (Economics, Business And Finance) , Vol. 14, No. 156, 71-87, ISBN: 1300-610X
  • C. Coşkun Küçüközmen.
    (1996) BCCI Case and the International Supervisory Arrangements.
    Hazine Dergisi (Treasury Journal) , Vol. 4, 121-133, ISBN: 1300-7831
  • C. Coşkun Küçüközmen.
    (1996) Mevduat Sigortası (Deposit Insurance).
    İktisat, İşletme Ve Finans (Economics, Business And Finance) , Vol. 11, No. 22, 44-53, ISBN: 1300-610X
  • Berna Aydoğan , Gülin Vardar.
    (2019) Do Renewable Energy Consumption and Agriculture Reduce CO2 in E-7 Countries.
    10th International Conference On Environmental Engineering And Applications (ICEEA 2019)
  • Gülin Vardar , Berna Aydogan , F. Dilvin Taşkın.
    (2019) Air Pollution and Economic Growth:Evidence from Newly Indsutrialized Countries.
    International Congress Of Energy, Economy And Security
  • Hasan Baklacı , Berna Aydoğan , Tezer Yelkenci.
    (2019) Impact Of Trading In Stock Markets On Currency Market Volatility Spillovers.
    ISERD / International Conference On Accounting And Finance
  • Gülin Vardar , Berna Aydoğan , Dilvin Taşkın.
    (2019) Air Pollution and Economic Growth:Evidence from Newly Industrialized Countries..
    International Congress Of Energy, Economy And Security
  • Gülin Vardar , Berna Aydoğan.
    (2018) The mystery around Bitcoin.
    6th Global Conference On Business, Economics, Management And Tourism
  • Gülin Vardar , Berna Aydoğan.
    (2018) Volatility Transmission Between Real Estate And Stock Markets: A Multivariate GARCH Perspective.
    2018 ICBTS International Multidiscipline Research Conference
  • Gülin Vardar , Berna Aydoğan.
    (2018) Information flows between Exchange Rate Uncertainty and International Portfolio Flows in Emerging Markets: A Multivariate GARCH Perspective.
    International Conference On Current Issues Of Social Sciences And Business
  • Birce Dobrucalı.
    (2018) Impact of Recovery Efforts on Passengers Negative Emotions Following Airlines Service Failures: An Attributional Approach.
    2018 AMA Summer Academic Conference
  • Berna Aydoğan.
    (2017) The influence of Investor Sentiment on Developed Stock Markets .
    Euro-Asia Forum In Politics Economics And Business
  • Gülin Vardar , Gülüzar Kurt-Gümüş , Mehmet Erdem Delice.
    (2017) The Impact of Oil Price Shocks on Sector Indices.
    EconWorld2017 Conference
  • Gökçe Tunç , Berna Aydoğan , Gülin Vardar.
    (2017) Testing the Linkages between Real Estate Markets and Stock Markets in European Countries.
    EconWorld 2017, VI. International Conference On Economics
  • Berna Aydoğan , Gökçe Tunç , Tezer Yelkenci.
    (2016) The Impact of Oil Price Volatility on Net-Oil Exporter and Importer Countries Stock Markets.
    19th EBES Conference
  • Cansu Yıldırım , Birce Dobrucalı , Bengü Oflaç.
    (2016) Justice Based Failure Classification Framework for Online Retailers.
    SERVSIG 2016 / SERVSIG 2016
  • Gülin Vardar , Yener Coşkun , Tezer Yelkenci.
    (2016) Volatility Transmission among Commodity and Stock Markets: Evidence from Developed and Developing Countries.
    2nd International Conference On Applied Economics And Finance
  • Cansu Tayaksi , Birce Dobrucalı.
    (2015) Eliminating Muda and Increasing Level of Service in Airports: A New Model Using iBeacon Technology.
    IX. European Conference On Social And Behavioral Sciences
  • Gülin Vardar , Yener Coşkun.
    (2015) Does Financial Development Affect Growth Volatility.
    15th EBES Conference
  • Gülin Vardar , Yener Coşkun.
    (2015) Does Financial Development Affect Growth Volatility.
    15th EBES Conference
  • Bengü Oflaç , Birce Dobrucalı , Tuğçe Yavaş and Maria Gabriela Escobar.
    (2015) Services Marketing Mix Efforts of a Global Services Brand: The Case of DHL Logistics,.
    2nd Global Conference On Busıness, Economıcs,Management And Tourısm, / Procedia Economics And Finance
  • Vardar Gulin , Aydoğan Berna , Acar Erdener Ece.
    (2014) Benefits of International Portfolio Diversification During the Financial Crisis.
    21th Annual Conference Of The Multınatıonal Fınance Socıety
  • Berna Aydoğan , Gulin Vardar.
    (2014) Yatırımcı Duyarlılığının Borsa İstanbul Sektör Endeks Getirileri Üzerine Etkisi.
    18. Finans Sempozyumu
  • C. Coşkun Küçüközmen.
    (2013) Enerji Piyasalarında Risk Yönetimi.
    Borsa İstanbul; İktisadi Araştırmalar Vakfı; Takasbank / Elektrik Piyasası Özelinde Enerji Piyasaları Ve Risk Yönetimi Sempozyumu
    109-138, ISBN: 978605548312
  • Berna Aydoğan , Gülin Vardar , Gökçe Tunç.
    (2013) The interaction of mutual fund flows and stock returns: Evidence from the Turkish capital market.
    EconAnadolu 2013
  • Gülin Vardar , Berna Aydoğan , Ünal Seven.
    (2013) Competitive Conditions in Turkish Banking System After 2001 Turkish Crisis.
    20th Annual Conference Of The Multinational Finance Society
  • Berna Aydoğan.
    (2012) Intraday Volatility in the Turkish Derivatives Market.
    7th Annual London Business Research Conference
  • Gülin Vardar.
    (2012) The Relationship between accounting and capital market measures of risk.
    International Conference On Finance Perspective
  • Gülin Vardar , Gökçe Tunç , Berna Aydoğan.
    (2012) Long-Run and Short-Run Relationship among the Stock Indices: Evidence from Turkey.
    Eurasia Business And Economic Society
  • C. Coşkun Küçüközmen , Emir Çetinkaya , Salim Kasap.
    (2011) ISE Warrants Arbitrage Opportunities.
    10. Ulusal İşletmecilik Kongresi
  • Hasan Baklacı , Cengiz Erol , Berna Okan and Gökçe Tunç.
    (2011) Performance Comparison of Islamic (Participation) Banks and Commercial Banks in Turkish Banking Sector.
    6th Annual London Business Research Conference
  • C. Coşkun Küçüközmen , Emir Çetinkaya , Salim Kasap.
    (2011) İMKB Varant Piyasasında Arbitraj Olasılıkları.
    10. Ulusal İşletmecilik Kongresi / 10. Ulusal İşletmecilik Kongresi Genişletilmiş Bildiri Özetleri Kitabı
    443-444, ISBN: 978-975-441-331-1
  • C. Coşkun Küçüközmen , Mert Ural.
    (2011) Analyzing the Dual Long Memory in Stock Market Returns.
    12th International Symposium On Econometrics, Operations Research And Statistics / Ege Akademik Bakış
  • Berna Aydoğan , Istemi Berk.
    (2010) Impact of Oil Price Shocks on Turkish Financial System around Global Financial Crisis; Evidence from Istanbul Stock Exchange.
    IAEE's Rio 2010 International Conference
  • C. Coşkun Küçüközmen , Ozan Toros.
    (2009) CAPM Performance and Volatility Structure of Energy Companies traded in Istanbul Stock Exchange.
    Second Multinational Energy And Value Conference
  • Adnan Kasman , Berna Okan , Erdost Torun.
    (2009) Türev Piyasalara Ait İşlem Hacminin Temel Teşkil Ettiği Spot Piyasaların Oynaklığına Etkisi: Türkiye Vadeli İşlemler Piyasası Örneği.
    The 10th Econometrics And Statistics Symposium
  • C. Coşkun Küçüközmen , Unsal Ban , Ozgenay Çetinkaya.
    (2009) Distributional Properties of Energy Asset Returns.
    2nd International Conference On Social Sciences (ICSS) / Reading In Social Sciences
    117-131, ISBN: 978-605-5741-17-4
  • Hasan F. Baklaci , Gokce Aksoy , Berna Okan and Gulin Vardar.
    (2009) The impact of firm-specific public news on intraday market efficiency: Evidence from Turkish stock market.
    Eurasia Business And Economics Society - EBES 2009
  • C. Coşkun Küçüközmen.
    (2009) Bankalarda Sermaye Yönetiminde Yeni Arayışlar ve Alternatif Modeller.
    İstanbul Üniversitesi, İktisat Fakültesi, Bankacılık Araştırma Merkezi / Yeni Yüzyılda Bankacılık Küresel Riskler Ve Bankalarda Sermaye Yönetiminde Yeni Arayışlar
    65-74, ISBN: 9789944250542
  • C. Coşkun Küçüközmen , Nadi Serhan Aydın.
    (2009) Stress testing of energy-related derivative instruments based on conditional market risk models.
    Second Multinational Energy And Value Conference
  • Gökçe Aksoy , Gülin Vardar , Emre Can.
    (2008) Policy Implications Of Bank Loans For Turkey Considering The Post Basel II Era In Europe.
    ”, I. International Symposium: SMEs And Basel II An Appraisal Of SMEs Within The Framework Of Transition To Basel II: Issues And Solutions
    259-265,
  • C. Coşkun Küçüközmen , Ozgenay Çetinkaya , B. Gündoğdu.
    (2008) Impact of News Arrival on Financial Volatility: Evidence from Turkish Financial Markets.
    4th International Conference On Business, Management And Economics (ICBME’08)
  • Gülin Vardar , Gökçe Aksoy , Emre Can.
    (2008) Faiz Oranlarının ve Döviz Kurunun Sektörel Fiyat Endeksleri Oynaklığına Etkisi.
    Yönetim Ve Ekonomi Bilimleri Konferansı
  • C. Coşkun Küçüközmen , Ozgenay Çetinkaya , Burak Gündoğdu.
    (2008) News Impact and Financial volatility: Case for Turkey.
    1. Ulusal Yönetim Ve Ekonomi Bilimleri Konferansı (YEBKO) / Parasal İktisat Bankacılık Ve Finans
    59-82, ISBN: 978-605-5741-10-5
  • Gulin Vardar , Berna Okan.
    (2008) Short term Overreaction Effect: Evidence on the Turkish Stock Market.
    3. IUE-SUNY, Cortland Conference In Economics / Proceedings Of The Conference On Emerging Economic Issues In A Globalizing World
    155-165,
  • Hasan Baklacı , Berna Okan , Gökçe Aksoy and Gülin Vardar.
    (2008) The Informational Impact Of The Futures Transactions In Turkish Stock Market..
    2008 BUSINESS & ECONOMICS SOCIETY INTERNATIONAL CONFERECNE
  • Hasan Baklacı , Berna Okan , Gökçe Tunç and Gülin Vardar.
    (2008) The Informational Impact of the Futures Transactions in Turkish Stock Market.
    2008 Business And Economics Society International Conference
  • Berna Okan , Onur Olgun , Sefa Takmaz.
    (2008) Hacim ve Oynaklık: IMKB-30 ve Vadeli İşlemler Endeksi Üzerine Bir Çalışma.
    YÖNETİM VE EKONOMİ BİLİMLERİ KONFERANSI
  • C. Coşkun Küçüközmen , H. Dilek Oğuz.
    (2007) Emerging Markets’ Stock Market Volatility and Impact of News: Is it Really Observable?.
    3rd International Conference On Business, Management And Economics
  • C. Coşkun Küçüközmen , Murat Mazıbaş.
    (2007) Forecasting the Change and Direction of Change in ISE Sector Indices: An Artificial Neural Network Application.
    3rd International Conference On Business, Management And Economics
  • C. Coşkun Küçüközmen , Sühan Altay.
    (2006) Efficient Market Hypothesis and Identification of Linear and Non-linear Dependence in Stock Market Returns.
    13th Annual Conference Of The Multinational Finance Society
  • C. Coşkun Küçüközmen , Tolga Aktürk.
    (2006) An Econometric Approach to Tourism Demand: Arrivals from UK and Australia to Turkey.
    The Third Graduate Research In Tourism Conference / Anatolia: Turizm Araştırmaları Dergisi
  • Hülya Tütek , Berna Okan , Gökçe Aksoy.
    (2006) The Development of Turkish Women in the Republican Era: Educational and Employment Advance and Issues.
    1st Biennial International Women’s Studies Conference / Effects Of The European Union On The Socio-Economic Development Of Women
  • Fuat Erdal , Berna Okan , Gökçe Aksoy.
    (2006) The Effect Of Macroeconomic Variables On Stock Prices: Evidence From Turkey.
    Business & Economics Society International Conference
  • C. Coşkun Küçüközmen , Ayhan Yüksel.
    (2006) A Macro-econometric Credit Risk Model for Stress Testing the Turkish Credit Portfolio.
    13th Annual Conference Of The Multinational Finance Society
  • C. Coşkun Küçüközmen , Hadri Kaddour , Cherif Guermat.
    (2006) Forecasting Volatility with Asymmetric Conditional Models: Evidence from Emerging Arab Stock Markets.
    International Conference On Financial Development In Arab Countries / Financial Development In Arab Countries
    225-243, ISBN: 9960-32-156-8
  • Berna Okan , Gökçe Aksoy.
    (2006) Stock Exchange Prices and Macroeconomic Indicators: A causal Analysis.
    2nd International Conference On Business, Management And Economics
  • C. Coşkun Küçüközmen , Sühan Altay.
    (2006) An Assessment of Value-at-Risk (VaR) and Expected Tail Loss (ETL) Under a Stress Testing Framework for Turkish Stock Market.
    2nd International Conference On Business, Management And Economics / Advances In Turkish Economy And Business Environment: Theory And Applications
    83-98, ISBN: 975-6339-06-1
  • C. Coşkun Küçüközmen , Saadet Güner.
    (2005) Risk Management to Protect Cultural Heritage in Time of Armed Conflict.
    10th International Congress On “Cultural Heritage And New Technologies”
  • Şükrü Özen Şükrü Özen , Serkan Dirlik.
    (2023) Yönetim ve Örgüt Araştırmalarında Toplumsal Bağlam.
    İmge Yayınevi , ISBN: 978-625-6455-27-6
    Author / Editor
  • Mehmet Gençer Mehmet Gençer.
    (2022) Uygulamalı Sosyal Ağ Analizi.
    IEU Yayınları , ISBN: 978-605-70257-1-5
    Author / Editor
  • Şükrü Özen Şükrü Özen.
    (2022) Örgüt Kuramı Çalışmaları: Hüseyin Leblebici’ye Armağan.
    İmge Yayınevi ,
    Author / Editor
  • - - Alev Özer Torgalöz , Sevgin Batuk Ünlü.
    (2021) Remote & Hybrid Working: Variants, Determinants, Outcomes.
    Peter Lang ,
    Editor
  • Mehmet Gençer , Mustafa Işık , Mustaf ACaner Meydan and Leyla Bilen Kazancık Ve Diğ..
    (2020) İller Ve Bölgeler Arası Sosyo-Ekonomik Ağ Ilişkileri Raporu.ISBN: 978-605-7679-05-5
    Author
  • Mehmet Gençer Yok Yok.
    (2020) Applied Social Network Analysis With R: Emerging Research and Opportunities..
    IGI Global , ISBN: 9781799819127
    Author
  • Serhun Al .
    (2019) Patterns of Nationhood and Saving the State in Turkey: Ottomanism, Nationalism and Multiculturalism.
    Routledge , ISBN: 9781138354142
    Author
  • Emel Elif Tugdar , Serhun Al.
    (2017) Comparative Kurdish Politics in the Middle East: Actors, Ideas, and Interests.
    Palgrave Macmillan , ISBN: 978-3-319-53714-6
    Author / Editor
  • Devrim Sezer , Nazile Kalaycı.
    (2017) Siyasalın Peşinde: Dünyaya Tragedyalarla Bakmak.
    Metis Yayınları ,
    Author / Editor
  • Serhat Burmaoğlu Haydar Yalçın , Murat Esen , Serhat Burmaoğlu and Metehan Feridun Sorkun.
    (2016) Bilim, Teknoloji ve İnovasyon Çağında Araştırma Üniversitesi Olmak.
    Pegem Akademi , ISBN: 978-605-318-753-0
    Editor
  • Huriye Kubilay , Tunçdan Baltacıoğlu , Durmuş Ali Deveci , Öznur Yurt , Fikret Kasapoğlu , Muhittin Hakan Demir , Bengü Oflaç and Sinem Tokçaer Tunçdan Baltacıoğlu.
    (2015) İthalat ve İhracat Sürecinde Limanlarda Sağlanan Lojistik Hizmetlerin ve İlgili Masraflarin Yasal Dayanaklari ile Vergilendirme Usullerinin İncelenmesi ve Değerlendirilmesi.
    İTO ,
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  • Hüriye Kubilay , Tuncdan Baltacıoğlu , Durmuş Ali Deveci , Öznur Yurt , Fikret Kasapoğlu , Muhittin Hakan Demir , Bengü Oflaç and Sinem Tokcaer Tuncdan Baltacıoğlu.
    (2015) İthalat ve İhracat Sürecinde Limanlarda Sağlanan Lojistik Hizmetlerin ve İlgili Masraflarin Yasal Dayanaklari ile Vergilendirme Usullerinin İncelenmesi ve Değerlendirilmesi..
    İzmir Ticaret Odası ,
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    (2015) Örgüt Kuramları.
    İmge Yayınevi ,
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    (2014) Ithalat ve Ihracat Sürecinde Limanlarda Saglanan Lojistik Hizmetlerinin, Ilgili Masraflarin ve Kazançlarin Yasal Dayanaklari Ile Vergilendirme Usullerinin Incelenmesi ve Degerlendirilmesi (Analysis of Logistics Services in International Trade).
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    (2013) İstikrarsız Bir Ekonominin İstikrarı.
    Efil Yayınları , ISBN: 978-605-4579-56-3
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  • Sıtkı Egeli Mustafa Aydın.
    (2012) Füze Tehdidi ve NATO Füze Kalkanı: Türkiye Açısından Bir Değerlendirme.
    İstanbul Bilgi Üniversitesi , ISBN: 978-605-399-260-8
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  • Hakan Yetkiner , Erkan Erdil , Teoman Pamukçu.
    (2012) Industrial Dynamics, Innovation Policy, and Economic Growth through Technological Advancements.
    IGI Global , ISBN: ISBN13: 978146661978
    Editor
  • Gökçer Özgür , Hakan Yetkiner.
    (2011) Zor Zamanlarda İktisat (Economics under Challenge).
    Efil Yayınları , ISBN: 978-605-4334-77-3
    Editor
  • Ayla Oğuş-Binatlı , Alper Duman , Değer Eryar , Burak Dindaroğlu , Hasan Tekgüç , Gül Ertan , İdil Göksel and Müge Karacal .
    (2011) İzmir İşgücü Piyasası Araştırması (Reseach on İzmir Labor Market).
    İzmir Ekonomi Üniversitesi , ISBN: 9789758789450
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  • Tunçdan Baltacıoğlu , Öznur Yurt , Ö Demirkaya Öznur Yurt.
    (2011) Kendi İşini Kurma Rehberi.
    İzmir Ekonomi Üniversitesi Yayınları ,
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    (2010) Sorularla Makro İktisat.
    Efil Yayınevi , ISBN: 605 4334 06 3
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    (2010) Logistics and Supply Chain Management Projects.
    VDM Verlag , Vol. 1, No. 2, ISBN: 9783639240481
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    (2010) Küreselleşen Kriz Çerçevesinde Türkiye’nin Cari Açık Sorunsalı.
    Efil Yayınevi / Küresel Kriz Dizisi , ISBN: 9786054334049
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    VDM Verlag Dr. Müller E.K. , ISBN: 978-3-639-20408-7
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    (2009) Siyasi Partilerin Avrupa Birliği Söylemleri.
    Eflatun Yayınevi ,
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    Eflatun Yayınevi ,
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    (2009) Avrupa Birliği ve Türkiye İlişkileri: Beklentiler ve Kaygılar.
    Eflatun Yayınevi , ISBN: 978-605-4160-32-7
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    (2008) Hasan Ünal Nalbantoğlu'na Armağan / Symbolae In Honorem.
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    (2008) Deneyimsel Öğrenmenin İşletme Eğitimindeki Yeri ve Eğitim Oyunlarının Rolü.
    Izmir Ekonomi Universitesi Yayını No: 024 , ISBN: 9789758789221
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  • Cigdem Kentmen .
    (2008) Why do People Abstain from the European Parliament Elections? An Empirical Test of Second Order Theory 1979 1999.
    VDM Verlag Dr. Muller Aktiengesellschaft & Co. KG , ISBN: 978-3639001907
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    Arbitraj Fiyatlama Teorisi: Ross ve Çok Faktörlü Modeller.
    141-165
    Aysel Gündoğdu.
    Finansın Temel Teorileri.
    (2018), BETA YAYINLARI,
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    Predicting Chronic Absenteeism Using Educational Data Mining Methods.
    511-526
    Şefika Şule Erçetin.
    Chaos, Complexity and Leadership 2016.
    (2017), Springer, Ser. Springer P, ISBN: 978-3-319-64554-4
  • Berna Aydoğan.
    Stratejik Özkaynakla Finansman Yaklaşımı.
    281-304
    Hasan Dinçer , Ümit Hacıoğlu , Serhat Yüksel.
    Stratejik Finansal Yönetim.
    (2017),
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    Basel IV Yolda mı?.
    No. 19, 459-480
    N. Oğuzhan Altay , C. Coşkun Küçüközmen , Mert Ural , Erhan Demireli.
    Bankacılığın El Kitabı.
    (2016), Bankacılık Akademisi Yayınları, ISBN: 9786059048484
  • C. Coşkun Küçüközmen.
    Bankacılık ve Risk Yönetimi.
    No. 18, 443-456
    N. Oğuzhan Altay , C. Coşkun Küçüközmen , Mert Ural , Erhan Demireli.
    Bankacılığın El Kitabı.
    (2016), Bankacılık Akademisi Yayınları, ISBN: 9786059048484
  • Gülin Vardar.
    Uluslararası Portföy Yönetimi.
    Cemal Elitaş.
    Uluslararası Ticaret ve Finansman.
    (2016), Gazi Kitabevi,
  • İbrahim Erol , Burcu Ünüvar , C. Coşkun Küçüközmen.
    Para ve Merkez Bankacılığı.
    No. 1, 1-30
    N. Oğuzhan Altay.
    Para İktisadı Teori ve Politika.
    (2015), Palme Yayınları, ISBN: 9786053553151
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    Object Oriented Modelling of Corporate Complexity Performance Balance Card: CBBC.
    175-182
    Şefika Şule Erçetin , Santo Banerjee.
    Chaos, Complexity and Leadership 2013.
    (2015), Springer, ISBN: 978-3-319-09709-1
  • C. Coşkun Küçüközmen.
    Küresel Kriz ve Risk Yönetimi.
    629-640
    Nadir Eroğlu , İlhan Eroğlu , Halil İbrahim Aydın.
    İKTİSADİ KRİZLER VE TÜRKİYE EKONOMİSİ.
    (2015), ORION, ISBN: 9786055145545
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    Para Politikası Araçları.
    No. 2, 31-50
    N. Oğuzhan Altay.
    Para İktisadı Teori ve Politika.
    (2015), ISBN: 9786053553151
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    Bankacılıkta Basel Düzenlemeleri ve Risk Yönetimi.
    225-257
    N. Oğuzhan Altay , C.Coşkun Küçüközmen , Mert Ural , Erhan Demireli.
    Banka İktisadı ve İşletmeciliği.
    (2014), Detay Yayıncılık, ISBN: 9786055216962
  • Berna Aydogan , Gülin Vardar , Yasemin Z. Karaibrahimoglu.
    What Accounting and Finance Numbers Tell? What Accounting And Finance Numbers Tell? Vestel White Goods Case.
    561-564
    O.C. Ferrell , Geoffrey Hirt , Linda Ferrell.
    Business: A Changing World New Special Edition for TURKEY, Business: A Changing World, 9th Edition, Special Edition for Turkey.
    (2014), McGraw Hill,
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    What Accounting And Finance Numbers Tell? Vestel White Goods Case.
    561-564
    O.C. Ferrell , Geoffrey A. Hirt , Linda Ferrell.
    Business: A Changing World New Special Edition for TURKEY, Business: A Changing World, 9th Edition, Special Edition for Turkey.
    (2014), McgrawHill, ISBN: 9780077159825
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    Re-examining Turkey's Potential of Becoming a Natural Gas Hub.
    119-142
    Andre Dorsman , Timur Gök , Mehmet Baha Karan.
    Perspectives on Energy Risk.
    (2014), Springer, ISBN: 9783642415951
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    International Portfolio Diversification Benefits among Developed and Emerging Markets within the context of Recent Global Financial Crisis.
    Nilanjan Ray , Kaushik Chakraborty.
    Strategic Business Infrastructure Development and Contemporary Issues in Finance.
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    Küresel Kriz ve Sistemik Risk.
    No. 1, 3-18
    M. Veysel Kaya.
    2008 Küresel Krizi ve Ekonomik Çöküş.
    (2013), Adalet Yayınevi, ISBN: 9786051460390
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    Uluslararası Parite Koşulları.
    Atatürk Üniversitesi Açıköğretim Fakültesi.
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    Düzenleme, Denetim ve Küresel Finansal Kriz: Basel-II ve Stres Testleri Çerçevesinde Bir Değerlendirme.
    No. 4, 45-58
    Gökçe Özgür , Hakan Yetkiner.
    Zor Zamanlarda İktisat.
    (2011), EFLATUN Basım Dağıtım Yayıncılık Danışmanlık Yatırım ve Tic. Ltd. Şti., ISBN: 978-605-4334-77-3
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    Finansal Krizi Sorularla Anlamak: Oyuncular ve Riskler.
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    Küresel Kriz ve Risk Yönetimi: Yanılgılar ve Gerçekler.
    (2010), İzmir Ekonomi Üniversitesi Yayınları, Vol. 35,
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    Forecasting Value at Risk in Emerging Arab Stock Markets.
    225-243
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