Content
April 2025, Volume 40, Issue 123
- 1-13 Financial Factors Affecting Investors' Risk Appetite: Empirical Evidence from Domestic and Foreign Investors on BIST
by Bertaç Şakir Şahin - 14-34 Predicting Market Sensitivity: The Role of Board Structure in the Beta Coefficient of Software Companies on the Nasdaq Global Select Market
by Ahmet Akusta - 35-63 Effect of Esg Scores on Portfolio Performance: Evidence From Developing (E-7) Countries
by Oğuz Şimşek & Serkan Çankaya - 64-91 The Effect of Economic Policy and Monetary Policy Uncertainties on Investor Behavior: Example of Newly Industrialized Countries
by Turgay Münyas & Gülden Kadooğlu Aydın - 92-111 Predicting Market Direction With Deep Learning: An Application on E-7 Country Stock Markets
by Nazif Ayyıldız - 112-131 TOPSIS Approach in the Financial Performance Evaluation of Selected Firms From the NASDAQ Stock Exchange
by Deniz Altun & Gizem Varol - 132-165 Taxation of Online Services Offered Through Social Media Platforms: Legal Framework and Implementation Process
by Betül Açıkgöz - 166-187 Dynamic Relationship Between Bist Industrial Index and Industrial Production Index, GEPU, Commercial Loan Interest and Exchange Rate
by Bülent İlhan & Funda Kara - 188-209 The Role of Public Debt in Economic Growth: The Case of Türkiye (2000-2024)
by Oğuz Acar & Nazım Öztürk - 210-229 An Evaluation of the Presidential Systems of Two Turkic States in the Context of Legislative, Executive Branches and Budget Processes: Türkiye and Kazakhstan
by Çağdaş Zarplı & Elif Gökçe Demez - 230-248 Carbon Tunnel Vision in Strengthening Economic Sustainability
by Ali Kestane & Nurgül Çelik - 249-269 The Effectiveness of the Waiver of Appeal Institution in the Resolution of Tax Disputes
by Nergis Feride Kaplan Dönmez - 270-289 Taxation in Islamic Law
by Yücel Ergün
October 2024, Volume 39, Issue 122
- 1-23 EU27- Turkey Commodity Trade and The J- Curve: New Evidence From Asymmetry Analysis (The Case of Plastics Industry)
by Eyüp Tekin & Mortaza Ojaghlou - 24-43 Comparison of Cash Levels of Securities Investment Trusts
by Yahya Sönmez - 44-58 Financial Performance Measurement with MAIRCA Method: Application on Turkish Banking Sector
by Yusuf Bahadır Kavas & Batuhan Medetoğlu - 59-78 The Effect of R&D Expenditures on Financial Performance: A Research on Defense Industry Companies
by Yusuf Tepeli & Çağatay Mirgen - 79-109 The Relationship Between Inflation, Human Development Index and CO2 in Selected Country Groups
by Ufuk Alkan & Canan Dağıdır Çakan & Aykut Şengül & Mehmet Hanifi Ateş - 110-133 Trade Credit Borrowing Amidst the COVID-19 Pandemic: Evidence From Turkish Publicly Traded Firms
by Bahadır Karakoç - 134-156 The Relationship Between Military Expenditures, Unemployment and Economic Growth: An Analysis on Türkiye
by Nuh Ekrem Yıldırım - 157-186 Monetary and Credit Policies for the Transition to a Sustainable Economy in Turkey
by Sinan Şahin - 187-203 The Role of Technological Solutions in the Workload and Job Stress of Accounting Professionals
by Serpil Sevimli Deniz
April 2024, Volume 39, Issue 121
- 1-17 Comparative Analysis of Tax Procedure Law, Turkish Financial Reporting Standards for Large and Medium-Sized Enterprises (FRS), and TAS 2 Regarding Elements That Form The Costs In Inventories
by Hüseyin Mert & Haluk Mert & Didem Özçelik - 19-34 Analysis of the Financial Performance of Turkish Deposit Banks by Using the Camels Analysis Method
by Emrah Tuner - 35-50 Support From Participation Banking to Renewable Energy Projects: Proposal for the Convertible Musharakah Sukuk Model
by Fatih Kazancı - 51-69 Diversification and Bank Risk: A Dynamic Panel Data Analysis of Deposit Banks in Turkey
by Haşmet Sarıgül - 71-87 The Use of Monte Carlo Simulation in Capital Budgeting: An Implementation on an Airport Privatization
by İsmail Çağrı Özcan - 89-117 The Impact of Cryptocurrency Investor Risk Perception and Awareness on the Current Uses and Future Projections of Cryptocurrencies: A Research on Istanbul Provincial Health Directorate Employees
by Mustafa Özyeşil & Havane Tembelo - 119-127 Evaluation of The Concept of Doubtful Receivables According to Accounting and Law
by Nevber Zeynep Eroğlu - 129-146 The Effect of Trade Openness on Economic Growth: A Fractional Frequency Fourier ADL Approach for Turkey
by Onur Yağış - 147-174 Factors Affecting Capital Adequacy: An Application for the Turkish Banking Sector
by Özgür Özel - 175-188 Evaluation of Annual Reports by Text Analysis: An Application in Bist100 Index
by Sedat Çerez & Abdullah Kürşat Merter & Yavuz Selim Balcıoğlu & Gökhan Özer - 189-216 The Mediating Role of Financial Literacy in the Impact of New Generation Branch Applications on Customer Satisfaction in Banking
by Serkan Demirel & Zahraa Alfuraiji - 217-234 Investigation of the Relationship Between Economic Policy Uncertainty Index and Stock Exchange Indices: The Case of OECD Countries
by Süreyya Yılmaz Özekenci - 235-253 Does Exchange Rate Volatility Affect Deposit Bank Loans? An Application on the Turkish Banking Sector
by Yasemin Karataş Elçiçek
October 2023, Volume 38, Issue 120
- 1-10 Bank Interest Rate Margins and Uncertainty: A Forward-Looking Approach
by Baki Cem Şahin - 11-30 The Relationship Between the Country Selection Decision of Foreign Portfolio Investments and the Economic Freedom Index
by Cem Kartal & Mürüvet Acar Karaboğa - 31-50 The Impact Of Financial Institution Development on the Tax Burden in Fragile Five Countries
by Hakan Yıldırım & Yasin Karadeniz - 51-72 Analysis of the Factors Affecting the Residential Property Price Index for New Dwellings in Türkiye
by Nurgün Komşuoğlu Yılmaz - 73-96 Evaluation of the Performance of Excise Tax on Demerit Goods in Turkey
by Osman Gülden & Mustafa Mıynat - 97-130 Examination of Factors Determining Bad Debt Provisions: Effects of Receivables Management, Conservatism and Earnings Management
by Serdar Benligiray & Ahmet Onay - 131-154 Forecasting National Cement Demand in the Turkish Domestic Market with Artificial Neural Networks
by Selim Tüzüntürk & Fatma Sert Eteman - 155-174 Impact of Covid-19 On Digital Banking Applications
by M. Esra Atukalp - 175-202 Trade Wars: The Cases of USA, Mexico, China
by Serkan Şengül - 203-230 Closing the Finance Inspection Board and Its Effect on Public Financial Audit
by Hüseyin Işık - 231-246 The Effect of US Monetary Policy Uncertainty on Stock Returns: Bist100 Example
by Hakan Yıldırım & Saffet Akdağ & İ. Gökçe Kaya - 247-262 Integrated Analysis Of The Cost of Living Index In Asian Countries
by Tuğba Yılmaz & Elçin Noyan - 263-276 General Budget Balance and Inflation in Türkiye: The ARDL Bounds Test Approach
by Semra Altıngöz Zarplı
April 2023, Volume 38, Issue 119
- 1-20 Relationship Between Environmental, Social and Corporate Governance Performance and Financial Performance
by Kemal Çek - 21-38 Centralization of Enforcement and Finance Inspection Board
by Songül Demirel Değirmenci - 39-60 The Effects of Oil Prices and Exchange Rate Volatility on Transport Activities in Turkey’S Foreign Trade
by Hakan Aracı & Gökhan Berk Özbek & Kübra Göksu Köstepen Özbek - 61-76 The Relationship of Banks’ Profitability and Financial Soundness Indicators: Granger Causality Analysis in Turkey
by Sabrı Burak Arzova & Bertaç Şakir Şahin - 77-96 Effect of Operating Expenses on Firm Profitability: A Study on Firms Traded in the BIST30 Index
by Turan Öndeş & Muhammet Levet - 97-115 The Political and Economic Dimension of the Turkey-USSR Straits Problem (1945-1953)
by Mehmet Yıldırım
October 2022, Volume 37, Issue 118
- 1-12 Importance Weights of Performance Ratios: Analyzing Hedge Funds by Entropy Method
by Aykan Coşkun & İsrafil Zor - 13-32 Investigation Techniques, Methods, Types, and Increasing Impact of Forensic Accounting in Digital Period
by İbrahim Mert - 33-70 Econometric Analysis of the Relationship Between Inequality of Income Distribution and Financial Development (2000-2019)
by Esra Erik Akyol & Murat Akbalık - 71-100 Analysis of the Asymmetric Effects of Global Uncertainty Factors on BIST Stock Prices Evidence from NARDL Model
by Mevlüt Camgöz - 101-130 An Assessment of the Monetary Policies Implemented by the Central Bank of Turkey During the Covid-19 Epidemic
by Özlem Ülger - 131-160 The Theoretical Framework of Pork Barreling
by Ersin Yavuz & Sevinç Yaraşır Tülümce - 161-178 Impact of Financial Benchmarks Upon the Portfolio Distribution of Mutual Funds: The Evidence From Turkish Capital Market
by Fatih Kayhan & Berra Doğaner & Mehmet İslamoglu - 179-198 A Research on the Use of the Market Approach in Determining the Value of the First Publicly Offered Companies in the BIST in the 2020-2021 Period
by Hasan Yalçın - 199-220 Econometric Analysis of the Relationship of Financial Access, Economic Growth and Private Sector Investments
by Münevvere Yıldız - 221-238 An Analysis on the Capital Structure of Family Firms
by Aclan Omağ & Altan Masun - 239-256 The Relationship Between Port Operational Efficiency and Profitability: A Research on TCDD Ports
by Serdar Alnıpak - 257-270 Relations Among Residential Rent Price Index, Sales’ Volume, REIT Index and Residential Sales Price Index: A Panel Regression Analysis
by Nurgün Komşuoğlu Yılmaz - 271-306 An Evaluation on the Application of the Liberal International Trade Policies Ottoman Empire in Its Last Century
by Zelha Altınkaya
April 2022, Volume 37, Issue 117
- 9-20 The Effect of Exchange Rate Changes on Inflation in Developing Countries
by Alican Umut - 21-40 Tax Attractiveness Index In OECD Countries: Panel Data Analysis
by Mustafa Alpin Gülşen - 41-62 Stock Market Index Prediction Using Dollar-tl and Euro-tl Exchange Rates With K-nearest Neighbor Algorithm
by Çiğdem Özarı & Özge Demirkale - 63-76 Analysis of Intraday Non-linear Asymmetrical Relationship in Us Stock Exchanges With Momentum Threshold Models
by Ayben Koy & Mehmet Yusuf Güngör & Oğuz Şimşek - 77-100 The Relationship Between Stock Market Index Returns and Gold Returns During the First Year of the Coronavirus Pandemic: An Asymmetric Causality Test
by Onur Oğuz & Özge Korkmaz - 101-114 Corporate Cash Holding and Monetary Policy
by Baki Cem Şahin & Selçuk Gül - 115-134 Terrorist Attacks and The Effect of Defense Expenditure on Growth: Analysis of Turkey
by Kubilay Çağrı Yılmaz - 135-158 The Effect of Sovereign Credit Ratings on Cds Premiums: An Event Study on Developed and Developing Countries
by Sinem Uçarkaya & Şenol Babuşcu & Adalet Hazar - 159-176 Investigation of Financial Performance Indicators Affecting Corporate Sustainability of Participation Banks
by Fatih Akbaş & Ferudun Kaya - 177-196 Weak Form Efficiency and Cryptocurrency Market
by Süleyman Açıkalın & İlker Sakınç - 197-214 An Economy-political Analysis on Economy Security
by Halil İbrahim Aydın & Muhammet Cemal Şahinoğlu & Ahmet Ateş - 215-232 BIST Corporate Governance Index Price Prediction With a Facebook Prophet Analysis Method
by Güzhan Gülay & Veclal Gündüz & Erdem Öncü & Hüseyin Karşılı - 233-246 The Effect of Maturity Structures of Bank Assets and Liabilities on Performance: An Empirical Implementation on Deposit Banks in Turkey
by Akın Taylan Alkan & Hicabi Ersoy & Mefule Fındıkçı Erdoğan
January 2021, Volume 36, Issue Special2
- 15-32 Conditional Correlations and Volatility Spillovers Between Crude Oil Price, Tüpraş, and Enerjisa Stock Returns: A Proposal for Constructing an Ultimate BIST Energy Index
by Caner Özdurak - 33-50 The Effect of the Output Gap on Inflation Within the Framework of the Hybrid New Keynesian Phillips Curve Model: The Case of Turkey
by Figen Tombak - 51-70 Analysis of Effects of the Covid-19 Pandemic Process on BIST-30 Equities through Confusion Matrix
by Gökhan Sönmezler & İsmail Orçun Gündüz - 71-96 Modelling an Artificial Financial Market: Agent Based Approach
by Hidayet Beyhan & Burç Ülengin - 97-112 The Sector Balance Sheet and Macroeconomic Indicators Influence on Liability Dolarization in Turkey
by Yücel Ayrıçay & Meltem Kılıç - 113-130 The Foreign Aid Factor in Acceptance of Refugee
by Müge Manga & Orhan Cengiz - 131-144 The Effect of Sectoral Costs on Non-Performing Loans: An Investigation on the Construction Industry
by Osman Emre Arlı & Ali Bayrakdaroğlu - 145-172 The Role of Energy in Sustainable Growth: Turkey's Resource Abundance-Energy Scarcity Paradox
by Fatma Rabia Aktaş Şenkardeşler - 173-190 Dynamic and High-Frequency Price Index: Calculation of Turkey's Daily and Hourly Inflation
by Serkan Gençer & Veysel Ulusoy - 191-218 Estimation of the Future Values of BIST 30 Shares with Geometric Brownian Motion and Volatility Analysis with ARIMA, SARIMA, GARCH, EGARCH, GJR Models
by Sonat Bayram - 219-232 Investigation of the Impact of Tax Penalty Announcements on Banks’ Stock Returns
by Soner Yakar & Gözde Elbir & Serkan Kandır - 233-252 The Impact of Credit Default Swaps (CDS) on Foreign Direct and Portfolio Investment: The Case of Turkey
by Şener İlter & Remzi Gök - 253-268 Evaluating The Efficiency of Enterprises Traded in Borsa Istanbul IT Sector
by Tuba Özkan
October 2021, Volume 36, Issue 116
- 9-36 Operating Performance of Management Buyouts: Non-PTP Dimension of Acquisitions
by Lokman Tütüncü - 37-56 The Relationship Between Financial Development and Firm Performance: Sectoral Evidence From Borsa Istanbul
by Mert Topçu & Beste Selin Öztekin - 57-72 Corporate Governance and Portfolio Performance: Evidence From BRICS Countries
by Aslı Aybars & Mehtap Öner & Emre Zehir - 73-92 Analysis of the Relationship Between Credit Default Swaps (CDS),Credit Ratings and Stock Markets: The Case of Turkey
by Hakan Sarıtaş & Emre Kılıç & Elif Hill Nazlıoğlu - 93-118 Does Huawei Pose a Threat to Technology Competition
by Barış Esen - 119-142 Analysis of the Deposit Banks Quoted in BIST With Topsis and Entropy Methods in Terms of IMF Financial Soundness Indicators
by Mehmet Mete Karadağ - 143-154 Weather Anomaly: Panel Data Analysis
by Aysel Gündoğdu - 155-170 Evaluation of 2001 Crisis in Dollarization Dimension With VAR Analysis
by Ayşegül Ak - 171-201 Crypto Monetary Policies in Turkey in Terms of Public Policy Analysis
by Osman Hatipoğlu
April 2021, Volume 36, Issue 115
- 9-26 The Relationship Between Financial Risk Tolerance and Demographic Variables: Moderating Effect of Financial Literacy
by Ahmet Oğuz Akgüneş - 27-58 Predicting Financial Statement Frauds Using Machine Learning Methods and Logistic Regression: The Case of Borsa Istanbul
by Barış Aksoy - 59-76 The Effects of Foreign Trade on Participation Index: ARDL Bounds Testing Approach
by Tufan Sarıtaş & Erdi Bayram - 77-102 Operation Implementation and Financial Evaluation of The Concordat Process in Business
by Okan Geniş & Esin Nesrin Can - 103-118 The Impact of Covid-19 and Crude Oil Price on Economic Policy Uncertainty; Evidence From an Emerging Market Economy
by Umut Burak Geyikci - 119-134 Trade Of Turkey In The One Belt One Road Initiative: Gravity Model Analysis
by Hacer Şaduman Okumuş & Ümit Bozoklu & Sevcan Çağlayan
October 2020, Volume 35, Issue 114
- 103-128 A Research on the Relationship Between Sovereign Credit Default Swap Premiums and Stock Indexes in Emerging Financial Markets
by Haşmet Sarıgül - 129-148 Relationships with External Political Actors, and CDS Relationship Between Exchange Rate: The Case of Turkey 2007-2020
by Sadi Uzunoğlu & Caner Ozdurak & Serap Dursun - 149-180 API Technology and Open Banking from the Perspective of Turkish Legal System and Payment Services Directive 2
by Bertaç Şakir Şahin & Barış Cihan Cantürk - 181-210 Effect of Country Governance Quality on International Portfolio Investments
by Eyyüp Kaya & Mine Aksoy - 211-240 Determinants of Profitability Performances of Commercial Banks in Turkey after the Global Crisis Period
by Esengül Salihoglu - 241-262 Comparing Performances of the Portfolios Created According to the Net Working Capital Approach: Example of Istanbul Stock Exchange
by Mehmet Emin Yıldız & Naci Yılmaz - 263-294 Foreign Exchange Rate Effect on Household Consumption Tendency: The Turkish Case
by Elçin Aykaç Alp & Ali Osman Gürbüz - 295-326 The Determinants of Turkey’s Foreign Trade With Selected Countries in Relation With Real Exchange Rate: An Econometric Analysis
by Orhan Eren & Ali Osman Gürbüz - 327-352 The Rural-Center Relationship in the Frame of the Indicators Related to Taxation in the Ottoman Empire in the 18th Century: the Example of Konya
by Perihan Hazel Kaya - 353-374 Analysis of the Relation of Bist 100 and Participation Index With Interest and Exchange Rates
by Serdar Ögel & Halil İbrahim Gökgöz - 375-400 Evaluation of the Attitudes and Behavior of University Students on Financial Literacy
by Gökçe Tekin Turhan - 401-418 The Relationships Among Corporate Governance Principles and Firm Performance
by Tuğba Karabulut & Mustafa Emre Civelek & Pınar Başar & Sabri Öz & Recep Ali Küçükçolak - 419-440 The Effects of Macroprudential Policies on The Total Loan Volume in Turkish Banking System
by Sevim Nur Şahbalı & Ferudun Kaya - 441-482 Effects of Credit Expansion on the Current Account Deficit in Turkey: ARDL Boundary Test Approach
by Hüseyin Uslu - 483-500 Turkey in terms of Electrical Energy and Economic Growth Relationship: Granger Causality Analysis ARDL-Bound Test Comparison
by Guldenur Çetin - 501-521 A Study of Performance Based Premium System’s RoleIn Banking Sector
by Özüm Eğilmez & Gözde Koca & Murat Koca
April 2020, Volume 35, Issue 113
- 11-46 The Historical Evolution of Treasury Single Account in Turkey
by Barış Can - 47-64 The Use of Topsis Method in Financial Performance Measurement in Turkish Banking Sector: An Application on Participation Banks
by Tuba Özkan - 65-74 The Effect of News About Bitcoin and Crypto Coins on Bitcoin Prices
by Türker Teker & Ayşen Konuşkan & Vesile Ömürbek & İsmail Bekçi - 75-98 Analysis of Stock Market Performance According to Capital Market Instruments of Euronext Stock Exchange: Application of Vıkor Method
by Haşim Bağcı - 99-118 Analysis of the Fınancial Performance of Participation Bank in Turkey
by Alper Karavardar & Arif Çilek - 119-138 Testing the Relationship Between Financial Liberalization and Industrial Production With Fourier Based Approaches: The Case of Turkey
by Selim Güngör & Emrah Şahin & Süleyman Serdar Karaca - 139-152 The Effects of Uncertainties in Economic Policy on Confidence Indices
by Saffet Akdağ - 153-184 Bibliometric Analysis of the Articles Published in the Journal of Public Finance and Finance Articles/writings (2009-2018)
by Selçuk Balı & Duygu Dündar - 185-206 Investigation of Cost Stickiness In BIST Manufacturing Sector
by Emre Horasan & Alirıza Ağ & Tuncer Yılmaz - 207-238 A’WOT Analysis of Turkish Banking Sector Against FinTechs
by Gülcan Çağıl & Gozde Candemır - 239-266 Comparative Investigation of the Students ‘approaches to the Tax of Professional Members and Accounting Professional Principles: The Case of Burdur Province
by İsmail Bekci & Ali Apalı & Menekşe Engin - 267-284 Analysis of Factors Affecting Identical Route and Range Voyage Costs
by Elif Bal Besıkcı & Aydın Şıhmantepe - 285-300 An Assessment of The Relationship Between CDS Spreads And Portfolio Investments: Turkey Case
by Güven Sevil & Tutku Ünkaracalar - 301-326 Cotton Commodity Futures Contract Positions and Real Cotton Commodity Market Dynamics Effects on Cotton Futures Returns
by Orhan Özaydın
October 2019, Volume 34, Issue 112
- 9-30 The Efficiency Measurement of Bank Mergers Between 2001-2017 in Turkish Banking Sector by Using Data Envelopment Analysis Method
by Nadir Eroğlu & Yavuz Çağlar Cerşit - 31-56 Factors Affecting Cost Efficiency of Commercial Banks in Kyrgyzstan
by Dastan Aseinov - 57-76 Econometrical Analysis of the Impact of Banking Sector on the Environment in Turkey in Terms of Environmental Kuznets Curve Hypothesis
by Ayten Çetin & Nadira Seyidova - 77-94 Internal Control System and Audit Program Activity – Implemantation for State Universities
by Esin Nesrin Can & Cem Çetin - 95-118 Relationship Between Economic Value Added (EVA) and Efficiency of Working Capital: Evidence from 2008 Global Financial Crisis Period
by Ali İhsan Akgün - 119-148 Financial Crises and Asymmetric Information: Mexican and Asian Crises
by Mehmet Mete Karadağ - 149-174 The Effects of Oil Prices and Real Effective Exchange Rate on Turkey’s Foreign Trade Balance: Ardl Boundary Test Approach
by Mehmet Ali Polat - 175-198 Macroeconomic Determinants of Tax Revenues: An Application on The OECD Countries
by Önder Çalcalı & Ali Altıner - 199-224 Portfolio Risk Analysis: Evidence From International Stock Markets
by Önder Büberkökü & Simge Tüzün Şahmaroğlu & Akın Akar - 225-240 Deliberate Discounts and Underpricing of Turkish IPOs
by Lokman Tütüncü & Elif Acar - 241-258 The Effects of Empowerment on Work Satisfaction, Performance and Organizational Commitment of Employees: The Case of Turkish Insurance Sector
by Necla Tunay
April 2019, Volume 34, Issue 111
- 11-32 Impact of Working Capital Components On Firm’s Profitability: The Case of Iron, Steel Metal Industry Sector in Borsa Istanbul
by Sibel Yılmaz Türkmen & Yakup Söylemez - 33-50 The Effects of Inclusion in The BIST Sustainability Index: An Application on Borsa Istanbul
by Raif Parlakkaya & Ümran Münire Kahraman & Yasin Cihan - 51-78 In Turkey, the Monetary Policy, Exchange Rate Importance: Conditions Index (MCI) Analysis
by Hakan Eryüzlü & Tayfur Bayat & İzzet Taşar - 79-116 A Research on Undergraduate Students’ Financial Literacy of Economics and Administrative Sciences and Applied Sciences Departments: Istanbul Arel University Example
by Cüneyt Dirican & Ayşegül Ertuğrul Ayrancı - 117-134 Analysis of the Relationship Between Economic Freedom Index and Stock Market Indices; Evidence From Turkey
by Esra N. Kılcı - 135-154 The Effect of Oil Prices on Stock Market Returns of Usa and Uk
by Hüseyin Çetin & Nihal Altun - 155-170 The Effect of Export Credit Insurances on The Export Value: A Panel Data Analysis of Developed Countries
by Cihat Köksal & Elif Güneren Genç - 171-200 Research on Measurement of Service Quality Perceptions of Participation Banks’ Customers
by Halil Emre Akbaş & Ahmet Uran - 201-232 Analytical Study on Participation Banking in Turkey
by Mustafa Cenk Uludağ - 233-266 Determinants of Net Interest Margins in Turkish Banking System: A Panel Data Analysis
by Abdulhakim Diko - 267-298 Financing Methods and Public Intervention in Urban Transformation
by Neslihan Koç - 299-318 Portfolio Management with MOORA Method: A Comparison with Traditional Methods and Chance Factors
by Cem Kartal - 319-340 Securitization as a Financial Tool and Its Accounting
by Hülya Boydaş Hazar & Nurgün Komşuoğlu Yılmaz - 341-356 Panel Logit Models: An Application on Banking Sector
by Ayşe Demirhan - 357-386 Financial Risk Analysis in Football Clubs
by Faruk Dayı - 387-402 Analysis of Disciplinary Penalties From the Gender Position of Accounting Professional Members: 2008-2017 Period
by Günay Deniz Dursun - 403-434 The Effect of Global Financial Crisis on the Change in Differences Between State Banks and Private Banks’ Liquidity Behavior: The Case of Turkish Deposit Banking
by Onur Özdemir & Fatih Kayhan
October 2018, Volume 33, Issue 110
- 9-20 Effect of Indirect Taxes on the Inflation in Turkey
by Adil Akıncı & Özer Özçelik - 21-36 An Application in the Burdur Province for the Awareness of the Effect of Accounting Auditing on Tax Applications of Accounting Professionals
by Ali Apalı & Özge Acun - 37-70 Theories Explaining Interfirm Trade Credits An Investigation in Borsa Istanbul
by Arzu Şahin - 71-94 An Assessment on the Macroeconomic Performance and the Insurance Sector Development of the Mint Economies
by Faruk Akın - 95-110 The Symmetric and Asymmetric Effects of Direct and Indirect Taxes on the Economic Activities
by Hüseyin Karamelikli - 111-134 Prediction Of Financial Succes Using Financial Failure Models: An Empiricial Analysis On Firms Listed İn BIST XELKT Index
by Mehmet İslamoğlu & Samet Çankaya - 135-160 Surety Bonds and Application in Turkish Financial System and Potential Effects
by Mehmet Yeşilyaprak & Ali Polat - 161-174 Structural Changes in Chinese Industrial Sector: Lessons for Emerging Economies
by Mete Han Yağmur & Gencay Karakaya - 175-198 Analysis of the Published Theses about Interest Free Banking in Turkey
by Mustafa Tevfik Kartal - 199-216 A Comparative Analysis of Socially Responsible Investing for Borsa Istanbul Stock Market
by Nalan Ece - 217-233 Effect Of Environmental Sensitivity To Competitiveness: An Application On Green Star Hotels
by Öznur Doğan & Fatih Coşkun Ertaş
April 2018, Volume 33, Issue 109
- 9-30 The Effects of Credit Rating Agencies S&P, Moody’s and Fitch’s Notes on Stock Indices for Turkey: Evidence from Borsa Istanbul 2012-2016
by Hasan Hüseyin Yıldırım & Ceren Yıldız & Özgür Aydemir - 31-50 Evaluatıon of the Performance of the Tourısm Companıes Trade on Borsa Istanbul: An Applıcatıon on Restaurants and Hotels
by Hakan Altın & Cemil Süslü - 51-70 In Search of the Relationship Between Bitcoin and Selected Exc¬hange Rates: Johansen Test and Granger Causality Test for the Period 2013-2017
by Cansu Şarkaya İçellioğlu & Merve Büşra Engin Öztürk - 71-90 Gender Diversity in The Board Room and Its Financial Performance Effect: Evidence from an Emerging Market
by Levent Ataünal & Aslı Aybars - 91-106 Comparison of Discriminant Analysis, Logistic Regression and Artificial Neural Networks in Credit Risk Analysis
by Mehmet Yazıcı - 107-144 A Banker Family In Ottoman Economy and Finance System: Camondos
by Serap Barış & Uğurcan Özel - 145-164 Eximbank Loans in the Development of Shipbuilding Industry: A Comparison of China and Turkey
by Selim Duramaz - 165-180 Democratization and Economic Growth in Emerging Market Economies
by Naib Alakbarov & Yılmaz Bayar - 181-202 The Tax Burden of Foreign Companies in the Control of MNCs Operating in Turkey
by Kürşat Yalçiner & Erkan Ertürk - 203-232 Accounting of Credits Used By Personnel in Banks
by Mustafa Tevfik Kartal & Neşe Çoban Çelikdemir - 233-258 The Purchased or Originated Credit-Impaired Financial Assets Approach as Collected Work under IFRS 9 Financial Instruments
by Mehmet Maşuk Fidan
October 2017, Volume 32, Issue Special1
- 11-24 (Güncel) Sivil Toplum Diyaloğu Ve Finans Kulüp
by Tevifk Altınok - 25-41 (Perspectives) Are You Empolyable?
by Aatos Hallipelto - 41-52 (Perspectives) Entrepreneurial Skills
by Ajev Ajev - 53-70 The Development of Entrepreneurship in the World and Turkey Throughout History
by Sebla Uzuntepe - 71-93 Types of Entrepreneurship: A General Framework
by Seda Celep - 95-112 Entrepreneurship 4.0: From History to Industry
by Ezgi Yıldırım Saatçi - 113-131 Open Innovation in the Era of Industry 4.0
by Ceyda Ovacı - 133-154 Intrapreneurship Orientation in Consideration With Human Resources Management Practices
by Gaye Özçelik - 155-174 Understanding the Business Model Canvas
by M. Şebnem Ensari - 175-194 PA New Approach in Marketing: Entrepreneurial Marketing
by Meltem Kıygı Çallı - 195-213 Entrepreneurship and SMEs
by Meliha Burcu Burcu.kines@okan.edu.trkineş