Content
April 2013, Volume 13, Issue 52
- 1-16 The Relationship Between Stock Prices and Exchange Rates Evidence from Developed and Developing Countries
by Onder Buberkoku - 17-37 Determinants of Foreign Portfolio Investments in Turkey
by Abdulkadir Kaya & Turan Ondes - 38-58 Effects of Horizontal M&As on Trading Volume of Stock Exchanges
by Burc Ulengin & M. Banu Yobas
April 2013, Volume 13, Issue 51
- 1-20 A Dynamic Model of Pension Fund Companies
by Mustafa Akan - 21-57 Effects of a Change in the Composition of IMKB 30 on Stock Performance
by Baris Teke - 58-81 Housing Market and Macroeconomic Fundamentals
by Orhan Erdem & Hande Oruc & Yusuf Varli
2012, Volume 13, Issue 50
- 1-28 Validity of the Triple Deficit Hypothesis in Turkey Bounds Test Approach
by Merter Akinci & Ömer Yilmaz - 29-44 Profitability Analysis of Banks An Application on the Turkish Banking Industry
by Gözde Cerci, & Serkan Yilmaz Kandir & Yildirim Beyazit Onal - 45-82 Comparison of the Performance of ISE Corporate Governance Index against Performances of Two Newly Created Indices
by Hakan Guclu
2012, Volume 13, Issue 49
- 1-18 Using Various Portfolio Formation and Test Periods: An Examination of Overreaction in ISE
by Hatice Dogukanli & Gamze Vural & Bahadir Ergun - 19-37 An Analysis of Manipulation Strategies in Stock Markets
by Rasim Ozcan - 39-58 Efficiency and Limited Arbitrage in the Stock Markets:Evidences from ISE
by Bekir Elmas
January 2012, Volume 12, Issue 48
- 1-12 The Impact of Ownership Structure on Capital Structure of Manufacturing Firms: Evidence from the ISE (1998-2009)
by Guven Sayilgan & Yahya Sayman - 13-30 The Istanbul Stock Exchange and Economic Growth
by Mehmet Adak - 31-64 Shadow Banking for Connected Lending and The Countermeasures: Turkish Case
by Ihsan Ugur Delikanli & Ali Alp & Saim Kilic
2011, Volume 12, Issue 47
- 1-18 The Effect of Foreign Portfolio Investments in the ISE: An Index-Based Study
by Bekir Elmas - 19-42 Stock Price Reactions to Merger Announcements:Evidence from Istanbul Stock Exchange (ISE)
by Berna Kirkulak Uludag & Ozlem Demirkaplan Gulbudak - 43-74 A Game Theoretic Approach to Model Financal Markets: Guessing Game
by U. Baris Urhan & Zafer Akin
2010, Volume 12, Issue 46
- 1-14 Internal Determinants of Profitability in Turkish Banking Sector
by Ali Alp & Unsal Ban & Kartal Demirgunes & Saim Kilic - 15-48 Why Turkish Securities Firms Have Not Transformed to Full Service Investment Banks?: An Assessment For the Near Future of the Turkish Securities Firms Industry
by Yener Coskun - 49-83 Investigating Exchange Rate Exposure of Bank Shares: Empirical Evidence From ISE
by Serkan Yilmaz Kandir & Ahmet Erismis
2010, Volume 12, Issue 45
- 1-14 The Effects of Free Float Ratios on Market Performance: An Empirical Study on the Istanbul Stock Exchange
by Faruk Bostanci & Saim Kilic - 27-58 The Effect of the Transparency Level of the ISE-Listed Banks on Liquidity
by A. R. Zafer Sayar & Onder Kaymaz & Ali Alp - 59-95 Calendar Effects in the Stock Market and a Practice Relatedn to the Istanbul Stock Exchange Market (ISEM)
by Mehmet Hasan Eken & Taylan Ozgür Uner
2010, Volume 11, Issue 44
- 1-28 Financial Reporting for the Repo Transactions and the Impact of Proposed Amendments in IAS 39 and IFRS 7
by Ýhsan Ugur Delikanli - 29-58 Investigating Investment Preferences of Institutional Investors toward ISE Companies
by Serkan Yilmaz Kandir - 58-85 The Effect of Foreign Investors on Security Markets: The Case of Istanbul Stock Exchange
by Guluzar Kurt Gumus
2009, Volume 11, Issue 43
- 1-16 Granger Causality Between Stock Price and Trading Volume: A Stock-Based Analysis in the ISE
by Bekir Elmas & M.Sinan Temurlenk - 17-52 The Accuracy of Sales Forecasts Disclosed in the IPO Prospectuses: Evidence From Istanbul Stock Exchange
by Halil Ýbrahim Bulut - 53-80 Aftermarket Performances of Book Building and Fixed Price Offerings on the Istanbul stock Exchange
by Erkin Uzun
2009, Volume 11, Issue 42
- 1-18 The Effect of the Change in the Exchange Rate of US Dollars on the Market Index of Developing Countries: January 2001– November 2006 Period
by Semra Karacaer & Yusuf Volkan Topuz - 19-34 Inflation Accounting and Stock Returns: Evidence From Istanbul Stock Exchange (ISE)
by Berna Kirkulak & Çagnur Kaytmaz Balsari - 35-58 An Empirical Examination of Bilateral Interaction Between Foreign Investors’ Trading and Returns in Turkey
by Hasan F. Baklaci
2009, Volume 11, Issue 41
- 1-24 Are Compliance Costs Arising From Capital Markets Regulations in Turkey Actually that High to Hinder IPOs?
by Saim Kilic & Ali Alp & Onder Kaymaz - 25-44 Further Out-of-Sample Tests of Simple Technical Trading Rules
by Numan Ulku - 45-60 Jinx Numbers Effect
by Ekrem Tufan & Bahattin Hamarat
2008, Volume 10, Issue 40
- 1-36 Public Disclosure Levels of ISE Companies: Ownership and Corporate Governance Effects
by Bengi Ertuna & Ali Tukel - 34-64 Good Corporate Governance Structures With Three Betters: Internal Control, Risk Management and Accounting Practices
by Onder Kaymaz & Ali Alp & Ramazan Aktas - 65-98 Portfolio Selection:Application on International Stock Portfolios
by Turhan Korkmaz & Elif Birkan - 99-130 How to Attract More Foreign Capital Investments in Turkey
by Cenap Ilter
2008, Volume 10, Issue 39
- 1-16 The Analysis of the Impact of Size and Book-To-Market Ratio on the Stock Returns of the ISE Companies
by Serpil Canbas & Serkan Yilmaz Kandir & Ahmet Erismis - 17-40 Investment Bank Reputation and the Post-IPO Operating Performance: The Case of the Istanbul Stock Exchange
by Halil Ibrahim Bulut - 41-58 The Impact of Custom Union Agreement on the Integration of Turkish Stock Market with the Major Trading Partners in Europe
by Saadet Kirbas Kasman & Adnan Kasman - 59-66 Do Foreigners Act as Positive Feedback Traders in Turkey?
by Cuneyt Akar
2008, Volume 10, Issue 38
- 1-24 Multiscale Systematic Risk: an Application on the ISE-30
by Atilla Cifter & Alper Ozun - 25-42 Exchange Rate Exposure: A f irm and Industry Level Investigation
by Sadik Cukur - 43-62 Inflation Targeting According to Oil and Exchange Rate Shocks
by Cem Mehmet Baydur
2007, Volume 10, Issue 37
- 1-12 Symmetrical and Asymmetrical Relationship Between Exchange Rate and Stock Exchange Index Return Volatilities in Turkey
by Omer Ozcicek - 13-34 Effect of Openness on Economic Growth in High Income OECD Countries: 1953-2004
by Sefer Sener & Ercan Saridogan - 35-58 The Design of a Regulatory Regime to Achieve High Quality Regulation: An Evaluation of Turkey’s Regulatory System
by Ali Alp & Saim Kilic - 59-78 Determination of Effect of Intellectual Capital on Firm Value Via Value Added Intellectual Coefficient Methodology: An Empirical Study on ISE-Listed Manufacturing Firms
by M. Basaran Ozturk & Kartal Demirgunes
2007, Volume 9, Issue 36
- 1-26 Detecting the Manipulation of Financial Information by Using Artificial Neural Network Models
by Guray Kuçukkocaoglu & Yasemin Keskin Benli & Cemal Kuçuksozen - 27-48 Impact of Audit Opinions on Stock Returns in Istanbul Stock Exchange (ISE)
by Hakan Aygoren & Suleyman Uyar - 49-68 Pricing Mortgage Assets
by Cem Karakas & Onur Ozsan - 69-76 Asymmetric Responses in Volatility Between Positive and Negative Shocks: New Evidence From Turkish Data by Using TAR-GARCH Model
by Cuneyt Akar
2007, Volume 9, Issue 35
- 1-10 How to Manage the Mortgage Credit Risk in Turkey? Can Dual-indexed Mortgages be a Remedy?
by Ali Alp & M. Mete Doganay - 11-20 Forecasting Financial Variables by the Grey Theory
by Sadik Cukur & Erdogan Kotil & Resul Eryigit - 21-36 Overreaction Hypothesis and an Empirical Work on the Istanbul Stock Exchange
by Serafetin Sevim & Birol Yildiz & soner Akkoc - 37-50 Purchasing Power Parity and ARIMA Models in Forecasting Exchange Rates: The Case of Turkey
by Hasan Vergil & Filiz Ozkan
2007, Volume 9, Issue 34
- 1-16 Cointegration and Causality Between Macroeconomic Variables and Share Prices
by Omer Yilmaz & Bener Gungor & Vedat Kaya - 17-34 Comparing the Convergence Behaviour of Binomial and Trinomial Models
by Mehmet Horasanli - 35-44 Foreign Direct Investment and Real Exchange Rate: A Causality Analysis
by Hasan Vergil & Hamza Cestepe
2007, Volume 9, Issue 33
- 1-58 Public Disclosure Systems
by ISE Research Departmen - 59-78 Measuring Audit Risk by Data Envelopment Analysis
by Nurhan Davutyan & Lerzan Kavut - 79-100 The European Union Portfolio-Diversification Opportunities in the New Members vs. the Candidate: Turkey
by Ceylan Onay & Vedat Akgiray
2006, Volume 8, Issue 32
- 1-10 The Relationship Between Macroeconomic Volatility and Stock Market Volatility
by Saadet Kirbas Kasman - 11-36 Measuring Default Risk in Turkey: Econometric Approach
by Melike E. Bildirici & Mehmet Salman - 37-56 The Effects of G-7 Countries’ Stock Markets on the Istanbul Stock Exchange
by Nildag Basak Ceylan
2006, Volume 8, Issue 31
- 1-18 Size and Book-to-Market Effects: Evidence from the Istanbul Stock Exchange (ISE)
by Nuri Yildirim - 19-30 Persistence in Emerging Market Stock Returns: Empirical Evidence from Six Stock Markets
by Zeynel Abidin Ozdemir - 31-41 Are Investors Affected by the Weather Conditions: Evidence from the Istanbul Stock Exchange
by Ekrem Tufan & Bahattin Hamarat
2006, Volume 8, Issue 30
- 1-18 Investors’ Selection Between Two Financial Markets: A Conditional Correlation Approach
by Oral Erdogan & Harald Schmidbauer
2005, Volume 8, Issue 30
- 19-30 Exchange Rate Exposure: An Empirical Application for Textile Industry on the Istanbul Stock Exchange
by Sadýk Cukur & Yusuf Volkan Topuz - 31-58 Mudaraba-Venture Capital Closed-end Mutual Funds and Mudaraba-Venture Capital Open-end Mutual Funds
by Halil Ibrahim Bulut
2005, Volume 8, Issue 29
- 1-14 Institutional Investors and Stock Market Development: A Causality Study
by Guler Aras & Alovsat Muslumov - 15-38 A Risk and Profitability Approach to Bank Performance Measurement: The Case of Turkish Commercial Banks
by M. Hasan Eken - 39-64 Monetary Policy Analysis for Turkey in a Game Theoretical Perspective
by Cem Mehmet Baydur & Bora Suslu & Selahattin Bekmez - 65-79 Single-Price Auction System for the Istanbul Stock Exchange
by Güray Kucukkocaoglu
2003, Volume 7, Issue 27
- 1-14 Abnormal Return Fluctuations in the ISE (Istanbul Stock Exchange) Before and After the General Elections in Turkey
by Pinar Evrim Mandaci - 15-34 Forecasting the Volatilities and Covariances of ISE Government Debt Securities Indices
by M.Mete Doganay - 35-58 Financial Liberalisation and Economic Growth: A Panel Data Approach
by Bulent Guloglu
2003, Volume 7, Issue 25-26
- 1-18 Banks, Stock Market and Economic Growth: Cointegration and Causality Analysis Case of Turkey (1989-2000)
by Hakan Cetintas & Salih Barisik - 19-40 An Analysis on the Dividend Policy of the Istanbul Stock Exchange (ISE) Corporations: Cash Dividend-Industry Behavior Relation
by Mustafa Kemal Yilmaz - 41-64 Capital Structure of the Turkish Domestic and International Real Sector Firms
by Halit Gonenc & Ozgur Arslan - 65-82 Forecasting the Direction of the ISE National-100 Index By Neural Networks Backpropagation Algorithm
by Ali Ihsan Diler - 65-82 Banking Efficiency During the Financial Crisis Period
by Adnan Kasman
2003, Volume 6, Issue 24
- 1-14 Examining Systematic and Nonsystematic Risks of the ISE Financial Sector Companies
by Prof. Dr. Hatice Dogukanli & Songül Kakilli Acaravci & Serkan Yilmaz Kandir - 15-32 An Investigation of Beta Instability in the Istanbul Stock Exchange
by Atilla Odabasi - 33-48 Finance and Growth in Turkey: Casuality Issue
by Ensar Yilmaz & Ozgur Kayalica
2002, Volume 6, Issue 23
- 1-14 Multi-Beta Capital Asset Pricing Model and an Application in Turkey
by Hatice Dogukanli & Serkan Yilmaz Kandir - 15-40 A New Financial Instrument For the Turkish Capital Markets: Exchange Traded Funds (ETFs)
by Cetin Ali Donmez
2002, Volume 6, Issue 22
- 1-16 Cash Conversion Cycle, Cash Management and Profitability: An Empirical Study on the ISE Traded Companies
by Tulay Yucel & Gulizar Kurt - 17-32 Measurement of Foreign Exchange Exposure on the Turkish Private Banks’ Stock Prices
by Serpil Canbas & Murat Doganlar & Yildirim B.Onal - 33-48 Income Velocity of Money (M2): The Case of Turkey, 1986-2000
by Fatih Cin & Fikret Dulger
2002, Volume 6, Issue 21
- 1-20 Global Factors and Stock Returns: Empirical Evidence From the Istanbul Stock Exchange
by Alpaslan Akcoraoglu & Funda Yurdakul - 21-36 Conditional CAPM and an Application on the ISE
by Yalcin Karatepe & Elif Karaaslan & Fazil Gokgoz - 37-86 Anchors in Implementation of Moneraty Policies in Turkey in 1990’s
by Cem Mehmet Baydur & Bora Suslu
2001, Volume 5, Issue 20
2001, Volume 5, Issue 19
- 1-69 Principles of Corporate Governance in the Capital Markets (Special Issue)
by Meral Varis & Ali Kuçukcolak & Oral Erdogan & Levent Ozer
2001, Volume 5, Issue 18
- 1-12 Testing Volatility Asymmetry in Istanbul Stock Exchange
by Cem Payaslioglu - 13-32 Monetary Transmission and Bank Lending in Turkey
by Lokman Gunduz - 33-52 Deseasonalizing Macroeconomic Data: A Caveat to Applied Researchers in Turkey
by C.Emre Alper & S.Boragan Aruoba
2001, Volume 5, Issue 17
- 1-22 Stochastic Trends and Stock Prices in Emerging Markets: The Case of Middle East and North Africa Region
by Lokman Gunduz & Mohammed Omran - 23-46 Pre-Trade Transparency
by Ananth Madhavan & David Porter & Daniel Weaver - 47-62 Prediction of Financial Failure With Artificial Neural Network Technology and an Empirical Application on Publicly Held Companies
by Birol Yildiz - 63-92 The Investment of Emerging Capital Markets and the Role of Derivative Securities
by Tamer Korkmaz - 93-124 Behavioral Finance Theories and the Price Behavior of the ISE Around the Start of the Disinflation Programme
by Numan Ulku
2000, Volume 4, Issue 16
- 1-12 An Analysis of Pre-Privatization and Post-Privatization Financial Performance and Activities of Privatized Cement Companies
by Osman Karamustafa - 13-90 Business Ethics and a Research for Ethics Cultures of the Companies Traded on the Istanbul Stock Exchange
by Ali Halici - 91-102 Purchasing Power Parity and Real Exchange Rates in Case of Developing Countries
by Murat Doganlar & Mehmet Ozmen
2000, Volume 4, Issue 15
- 1-26 The Effect of Scale and Mode of Ownership on the Turkish Banking Sector Financial Performance
by Muhammet Mercan & Reha Yolalan - 27-52 The Role of Venture Capitalists as Financial Intermediaries in Capital Markets
by Halil I Bulut - 53-64 An Inquiry on the Factors Contributing to the Economic Crises in Turkey
by Kamuran Malatyali
2000, Volume 4, Issue 14
- 1-128 Turkish Capital Market and the Istanbul Stock Exchange (ISE) Towards Harmonization and Competition with the European Capital Markets
by Meral Varis & Ali Kucukcolak & Levent Ozer & Oral Erdogan
2000, Volume 4, Issue 13
- 1-16 The Effects of Asian Currency Crisis on Financial Institutions: The ISE Experience
by Halil Kaymaz & Osman Kilic - 17-24 Forecasting Stock Prices by Using Alternative Time Series Models
by Kivilcim Metin & Gulnur Muradoglu - 25-48 The Goals of the Monetary Policy Implementations in Turkey
by Hacer Oguz
1999, Volume 3, Issue 12
- 1-4 A Challenge: Are You Ready for the Republic’s Centenary?
by Yavuz Canevi - 5-14 Turkey in 2000’s
by Mahfi Egilmez - 15-28 The Relationship between Inflation and Growth
by Gazi Ercel - 19-34 Recent Developments in Turkish Economy, Economic Policies for the Year 2000 and Effects of these Policies on Financial Markets
by Selcuk Demiralp - 35-46 Innovations Adopted by the Revised Capital Markets Law
by Muhsin Menguturk - 47-50 A Contemplation on the Istanbul Stock Exchange in 2000 and Beyond
by Osman Birsen - 51-88 World Gold Markets, Istanbul Gold Exchange and Gold Risk Management
by Serdar Citak - 89-102 Significance of the Southeastern Anatolia Project in the Turkish Economy
by Kenan Mortan
1999, Volume 3, Issue 11
1999, Volume 3, Issue 10
- 1-16 The Political Economy of Inflation: Are Turkish Banks Potential Losers From Stabilization?
by Caroline Van Rijckeghem - 17-32 The Causes and the Impact of the Financial Crisis on the East Asian Economies
by Kasim Eren - 33-52 Russian Crisis: The Impact on the ISE
by ISE Research Department
1999, Volume 3, Issue 9
- 1-20 Basic Financial Characteristics in the Banking Sector: An Empirical Analysis (1990-1997)
by Osman Karamustafa - 21-40 Leading Indicators Approach for Business Cycle Forecasting and a Study on Developing a Leading Economic Indicators Index for the Turkish Economy
by Ali Murutoglu - 41-74 Chaos Theory, Non-Linear Behavior in Stock Returns, Thin Trading and Market Efficiency in Emerging Markets: The Case of the Istanbul Stock Exchange
by Alper Ozun
1998, Volume 2, Issue 8-7
- 21-32 An Inquiry on the Evidence of Comovements Among Various Stock Market Returns
by N. Kamuran Malatyali - 33-51 Defined Contribution Model: Definition, Theory and an Application for Turkey
by Metin Ercen & Deniz Gokce - 51-78 Pension Reform, the Stock Market, Capital Formation and Economic Growth: A Critical Commentary on the World Bank’s Proposals
by Ajit Singh - 79-89 Financial Market Implications of Pension Reforms
by Hans J. Blommestein - 90-104 Prospects for Private Pension Systems and their Relation to the Stock Market in Turkey
by Mahir Fusunoðlu - 105-117 The Impact of Tax Regimes on the Development of Private Pension Funds: Reflections on the Capital Market
by Cagatay Ergenekon
1998, Volume 2, Issue 8-7 Year :1998
- 1-20 The Bid-Ask Spread and its Determinants for Stocks Traded on the Istanbul Stock Exchange
by Zeynep Onder & Z.Nuray Guner
1998, Volume 2, Issue 6
- 1-26 Relative Price Variability and Inflation: Empirical Evidence from Turkey
by Meral Karasulu - 27-34 An Analysis of the Istanbul Stock Exchange National-100 Index: A Statistical Approach
by Resat Kasap - 35-48 Volatility in Istanbul Stock Exchange
by Zafer Yavan & C.Bulent Aybar - 49-78 Day-Of-The-Week Effects in Overnight Interest Rates: Evidence from Turkish Money Markets
by Recep Bildik
1998, Volume 2, Issue 5
- 1-14 The Impact of Financial Innovation and Risk Management on Economic Performance
by Vedat Akgiray - 15-22 A Note on the Relationship Between the Spot and Futures Markets for Common Stock
by Kursat Aydogan - 23-44 When to Start Financial Derivatives Trading? The Example of Istanbul Stock Exchange
by Oral Erdogan & Murad Kayacan - 45-60 ISE Derivatives Market Trading System
by Cetin Ali Donmez - 61-74 Launching Markets for Stock Index Futures and Options: Case of Korea
by Yu-Kyung Kim - 75-82 The Right Time to Introduce a Derivatives Market
by Moema Unis
1997, Volume 1, Issue 4
- 1-14 Effects of Turkish Liberalization Measures on Stock Prices
by Ayse Yuce - 15-26 An Analysis of the “Day of the Week Effect” on the Istanbul Stock Exchange
by Kivilcim Metin & Gulnur Muradoglu & Bilgehan Yazici - 27-38 Causal Relations Among ISE, Inflation, Interest Rates and Real Activity in Turkey: A VAR Analysis
by Nihal Kargi & Harun Terzi - 39-72 Forecasting of Corporate Performances on the Basis of Financial Indicators
by Levent Alkan
1997, Volume 1, Issue 3
- 1-24 The Privatization of Stock Exchanges: The Case of Stockholm Stock Exchange
by Bengt Ryden - 25-42 Stock Market Volatility and Its Term Structure: Empirical Evidence From the Turkish Market
by Mustafa Kemal Yilmaz - 43-68 The Long Run Performances of Turkish Industrial IPOs: 1990-1995 Experience
by Halil Kiymaz - 69-86 An Empirical Investigation of the Determinants of Capital Structure: Evidence from Istanbul Stock Exchange Firms
by Banu Durukan
1997, Volume 1, Issue 2
- 1-22 A Proposal for a Deposit Insurance System in Turkey
by Ercan Balaban & Huseyin Cilli - 23-40 A Suggestion for a Bond Index
by Gursel Kona - 41-55 Managing Systematic Risk in Emerging Markets
by Gokhan Ugan - 56-76 Analysis of Factors Affecting the Performances of Turkish Financial IPOs
by Halil Kiymaz
1997, Volume 1, Issue 1
- 1-12 A General Outlook of the Turkish Industry and Competitiveness of the Private Sector
by B. Safa Ocak - 13-36 Intercultural Bank Management in Israel
by Yair E. Orgler - 37-82 Can Noise Traders Survive? Evidence from Closed-End Funds
by Seha M. Tinic & Laura Straks & Richard W. Sias - 83-96 P/E Ratio and the Dividend Yield as Forecasting Tools in the Istanbul Stock Exchange
by Kursat Aydogan & Alparslan Guney - 97-106 Integration Versus Segmentation: The Istanbul Stock Exchange
by Suleyman Gokçen & Ahu Ozturkmen