Araştırma

Makaleler

Alıcı A. and Ucal M. (2003). "Foreign Direct Investment, Exports and Output Growth of Turkey", European Trade Study Group (ETSG) 5th Annual Conference, Madrid, Spain.

Alıcı A. and Ucal M. (2003). "Effects of Exchange Rate Regimes on Macroeconomic Stability: Empirical Findings from the Turkish Economy", Economic Science Association (ESA) International Meeting, Amsterdam, Netherlands.

Alıcı A. (2005). "Causality Between Saving and Growth in Turkey", International Atlantic Economic Society 59th Conference, 9-13 March 2005, London, United Kingdom.

Alıcı A. (2005). "The Relationship Between Fiscal Policy and Current Account in Turkey", International Atlantic Economic Society 60th Conference, 6-9 October 2005, New York, NY, USA.

Alıcı A. (2006). "Causality Between Saving and Growth: The Turkish Case", International Advances in Economic Research, Research Note, Vol :12-1,139, Feb. 2006.

Alıcı A. and Ozgoker U. (2006). "Can Financial Regulations Strengthen Financial Stability in Developing Countries? The Case of Turkey", Frontiers of Regulation: Assessing Scholarly Debates and Policy Challenges Conference, University of Bath, Centre for the Study of Regulated Industries (ECPR/CRI), 7-9 September 2006.

Alıcı A. (2008). "An Empirical Investigation of Twin Deficits: Evidence from Turkey", International Atlantic Economic Society (IAES) 65th Conference, Warsaw, Poland, April 9-13, 2008.

Ucal M. and Alıcı. A. (2009). "Is Fiscal Policy Sustainable in Turkey", EBES 2009 Conference, Istanbul, June 1-2, 2009.

Ucal M. and Alıcı A. (2010). "Is Fiscal Policy Sustainable in Turkey?", A Journal of the Society for the Study of  Emerging Markets, Vol. 46, Supplement 1, May-June 2010.

Alıcı A. (2012). "The Impact of Financial Globalization on Income Distribution: The Turkish Case", IAES 73rd Conference Istanbul, Turkey, March 28-31, 2012.

Alıcı. A. (2013). "Financial Regulation and Financial Stability: The Turkish Case", IABPAD Conference, Istanbul, Turkey, July 1-4, 2013.

Demir E., Lau C. K., Alıcı A. (2015). "Macro Explanatory Factors of Borsa Istanbul Tourism Index", World Banking Finance Symposium, Hanoi, Vietnam.

Ersan O. and Alıcı A. (2016). "PIN, Recalculated", Journal of International Financial Markets, Institutions and Money, Vol. 43, Issue: C.

A. Yılmaz and G. Ünal (2016). "Co-Movement Analysis of Asian Stock Markets against FTSE100 And S&P500: Wavelet Based Approach", International Journal of Financial Engineering.

M. Gülerce and G. Ünal (2016). "Using Wavelet Analysis To Uncover The Co-Movement Behavior Of Multiple Energy Commodity Prices", International Journal of Wavelets, Multiresolution and Information Processing, DOI: 10.1142/S02196913165004781650047.

M. Gencer and G.Ünal (2016). "Testing Non-Linear Dynamics, Long Memory and Chaotic Behaviour of Energy Commodities", MPRA Paper No. 74115, https://mpra.ub.uni-muenchen.de/74115/

A. Yılmaz and G. Ünal (2016). "Chaoticity Properties of Fractionally Integrated Generalized Autoregressive Conditional Heteroskedastic Processes", Bulletin of Mathematical Sciences and Applications, Vol. 15, pp. 69-82.

G. Ünal (2015). "Stochastic symmetries of Wick type stochastic ordinary differential equations", International Journal of Modern Physics C, 01/2015; 38:1560079, InterDOI:10.1142/S2010194515600794.

S. Bayracı and G. Ünal (2014). "Stochastic interest rate volatility modeling with a continuous-time GARCH(1, 1) mode", Journal of Computational and Applied Mathematics | 259 | Part B |pp. 464-473.

Yay T., Yay G. G., Aksoy T. (2016). "Do Institutions Matter for Entrepreneurship?", International Atlantic Economic Society, 81st Atlantic Economic Conference, 16-19 March 2016, Lisbon, Portugal.

Yay T. and Tastan H. (2010). "Invisible Hand in the Process of Making Economics or On the Method and Scope of Economics", Panoeconomicus, LVI(1). (SSCI).

Yay T. (2010). "The Role of the State in Adam Smith’s Thought System and Modern Public Finance Theory: A Comparative Evaluation”, International Journal of Economics and Finance Studies, Vol. 2, No. 2, pp. 87-98. (JEL Index).

Yay T. and Tastan H. (2009). "Growth of Public Expenditures in Turkey During the 1950-2004 Period: An Econometric Analysis”, Romanian Journal of Economic Forecasting, 12(4), pp. 101-118. (SSCI).

Aytekin S. and Dube S. (2016). "Piyasalararası Dinamikler: Hisse Senedi, Tahvil, Döviz ve Emtia Piyasaları Arasındaki Etkileşim ve Nedensellik İlişkileri", ESOSDER, 15 (39).

Yilmaz T. and Dube S. (2016). "A Global Feasible Market Factor for Covariance Estimation along with Dynamic Asset Allocation", XXIV Finance Forum, July 2016, Spain.

Dube S., Dube M. and Turan A. (2015). "Information technology in Turkey: Creating high-skill jobs along with more unemployed highly-educated workers?", Telecommunications Policy, November 2015, Vol. 39 (10), pp. 811-829. 

Yalcin H. and Dube S. (2015). "Evaluation of Market Timing Ability for REITs in Turkey", Proceedings of the LODEF 2015 Congress, March 2015.

Yilmaz T. and Dube S. (2014). "Asset Allocation & Stock Selection: Evidence from Static & Dynamic Strategies in Turkish Markets", İktisat İşletme & Finans Dergisi, 29 (344).

Dube M. and Dube S. (2013). "Criticality of Robustness Checks for Complex Simulations and Modeling", Information, 16 (11), pp. 7917-7940. 

Eren D. and Dube S. (2012). "Dynamic Relationships between Macroeconomic Indicators and Non-Performing Loans", Middle Eastern Fin. & Econ., 18, pp. 148-161.

Yılmaz T. and Dube S. (2012). "Asset Allocation and Stock Selection: Evidence from Turkish Markets", FMA International, European Conference, Istanbul.

Langdon W. L., Dube S., Mazumder I. (2010). "The Use of Industrial Characteristics in the Prediction of Long Term Industrial Bond Performance", Proceedings of the Northeast Business & Economics Association Conference.

Dube S. and Dube M. (2010). Case Study and Teaching Note: "If You Can't Beat Them, Join Them?", Ivey Publishing / Harvard Business Review. 

Dube S., Glascock J., Romero R. (2008). "Does It Pay for Acquirers to Be Friendly?", Corporate Ownership and Control, 5 (2), pp. 327-342.

McLain D. and Dube S. (2007). "The Transition from Traditional to Modern Management in Turkey", EUROO, 1-16. 

Jensen A. and Dube S. (2007). "Trickle-Down Effect of the Sarbanes-Oxley Act on a Privately-Held Seasonal Textile Manufacturer", Journal of Business Case Studies, 3 (4).

Dube S., Francis-Gladney L., Romero R., Langdon W. (2007). "Merger Motives for U.S. Utility Acquirers", Journal of Business and Economics Research, 5 (5).

Dube S., Glascock J., Klock M. (2007). "Is Hostility Wasteful? Evidence of the Economic Costs of Hostility From the Measurement of Long-Term, Post-Acquisition Acquirer Performance", Journal of Business and Securities Law, 7 (1-2).

Torabzadeh K. and Dube S. (2007). "Motives for Partial Acquisitions: Evidence from the Effects of CEO Change on the Partially Acquired U.S. Target Firms", COO, 4 (4).

Dube S. and Glascock J. (2006). "Effects of the Method of Payment and the Mode of Acquisition on Performance and Risk Metrics", IJMF, 2 (3), pp. 176-195.

Torabzadeh K. and Dube S. (2006). "Valuation Effects of Partial Acquisitions", Meeting of the Administrative Sciences Association of Canada , Banff, Canada.

Y. Kuhry and Ş. Tüysüz (2009). "Interactions Between Interest Rates and the Transmission of Monetary and Economic News: The Cases of the U.S. and U.K.", Brussels Economic Review (review CNRS cat. 4).

Ş. Tüysüz (2011). "Is the Fed’s Transparency the Main Factor Influencing the Response of U.S. Interest Rates to Macroeconomic and Monetary News?", Middle Eastern Finance and Economics (METE), (AEREST).

Ş. Tüysüz (2011). "Has the independence of the Bank of England changed the reaction of interest rates to macroeconomic and monetary news?", International Research Journal of Applied Finance (IRJAF), Vol. II, Issue 5.

Ş. Tüysüz (2011). "Dynamic conditional correlation between the Turkish Government bond index, the stock index, and the sub-indices", International Research Journal of Applied Finance (IRJAF), Vol. II, Issue 11.

E. Spyromitros and Ş. Tüysüz (2012). "Do monetary policy transparency, independence and credibility enhance macro-financial stability?", International Journal of Economics and Finance (AEREST), Vol. 4 (4), April 2012.

Ş. Tüysüz (2012). "How have the Turkish post-2001 stabilization reforms impacted on the conditional correlation between the Turkish and the main foreign stock markets?", Applied Financial Economics, Taylor and Francis Journals, Vol. 22 (22), pp. 1881-1898.

Ş. Tüysüz (2013). "Conditional correlations between stock index, investment grade yield, high yield and commodities (gold and oil)", International Journal of Economics and Finance (AEREST), September 2013.

A. Perilioğlu and Ş. Tüysüz (2015). "Conditional Sovereign Transition Probability Matrices", Procedia Economics and Finance, Vol. 30, pp. 643-655.

A. Goncu, A. K. Akgül, O. İmamoğlu, M. M. Tiryakioğlu (2012). "An analysis of the extreme returns distribution: the case of the Istanbul Stock Exchange", Applied Financial Economics, Volume 22, Issue 9, pp. 723-732. 

 

Kitaplar

Yay T. and Yay G. G. (2007). "İktisat Yazıları", Nobel Kitap Dağıtım, Ankara.

Yay T. (2005). "Doğu Anadolu Turizm Odaklı Bölgesel Kalkınma Projesi ve Kış Olimpiyatlar Araştırması", İTO Yayınları, Istanbul.

Yay T., Yay G. G., Yılmaz E. (2001). "Küreselleşme Sürecinde Finansal Krizler ve Finansal Regülasyon", İTO Yayınları, Istanbul.

Yay T. (1993). "F. A. Hayek'te İktisadi Düşünce: Hayek-Keynes/Keynesçiler Tartışması", Ezgi Kitabevi, Bursa.

Dube S. and Dube M. (forthcoming). "Basics First", John Hunt Publishing.

Dube S. and Dube M. (forthcoming). "Importance of Interdepartmental Control & Potential Pitfalls", Case Study for Chapter 20, C.Wankel, Ed., Palgrave Macmillan.

Tiryakioğlu M. M. (2002). "Industry consolidating IPOs", Purdue University.