Publications of Metin, K.
2002
Forecasting integrated stock markets using international co-movements (2002), in: Russian & East European Finance & Trade, 37(45-62) | and ,
2001
Financial crisis and changes in determinants of risk and return: an empirical investigation of an emerging market (2001), in: Multinational Finance Journal, 3(223-252) | , and ,
Financial crisis and changes in determinants of risk and return: an empirical investigation of an emerging market (2001), in: Multinational Finance Journal, 3(223-252) | , and ,
2000
Is there a Long Run Relationship Between Stock Returns and Monetary Variables? (2000), in: Applied Financial Economics, 11(641-649) | , and ,
1999
Is there a long run relationship between stock returns and monetary variables? (1999), in: Applied Financial Economics, 11(641-649) | , and ,
Money demand, the Cagan model, testing rational expectations vs adaptive expectations: the case of Turkey (1999), in: Empirical Economics, 24(415-426) | and ,
The relationship between inflation and the budget deficit in Turkey (1999), in: J of Business and Economic Statistics, 16(412-422) | ,
1996
Efficiency of the Turkish Stock Exchange with respect to Monetary Variables: A C (1996), in: European J Operational Research, 90(566-576) | and ,
Efficiency of the Turkish Stock Market with respect to monetary variables (1996), in: European J Operational Research, 90(566-576) | and ,
1995
An Integrated analysis of Turkish inflation (1995), in: Oxford Bulletin of Economics and Statistics, 57(513-531) | ,