Publications of Muradoglu, G. sorted by journal
A
Performance of the Efficient Frontier in an Emerging Market Setting (2002), in: Applied Economics Letters, 9(177-183) | , and ,
Do markets learn from experience? Price reaction to stock dividends in the Turkish market (1997), in: Applied Financial Economics, 8(41-49) | and ,
Do markets learn from experience? Price reaction to stock dividends in the Turkish market (1997), in: Applied Financial Economics, 8(41-49) | and ,
Is there a long run relationship between stock returns and monetary variables? (1999), in: Applied Financial Economics, 11(641-649) | , and ,
Is there a Long Run Relationship Between Stock Returns and Monetary Variables? (2000), in: Applied Financial Economics, 11(641-649) | , and ,
D
Differences in household saving behavior: Evidence from industrial and developing countries (1997), in: Developing Economies, 34(138-153) | and ,
Differences in household savings behavior: Evidence from industrial and developing countries (1997), in: Developing Economies, 34(138-153) | and ,
E
Trends in Market Reactions: Stock Dividends and Rights Offerings at Istanbul Stock Exchange (2002), in: European J of Finance, 9(41-60) | and ,
Evaluating probabilistic forecasts of stock prices in a developing stock market (1994), in: European J Operational Research, 74(350-358) | and ,
Evaluating probabilistic forecasts of stock prices in a developing stock market (1995), in: European J Operational Research, 74(350-358) | and ,
Efficiency of the Turkish Stock Market with respect to monetary variables (1996), in: European J Operational Research, 90(566-576) | and ,
Efficiency of the Turkish Stock Exchange with respect to Monetary Variables: A C (1996), in: European J Operational Research, 90(566-576) | and ,
I
Effects of feedback on probabilistic forecasts of stock prices (1995), in: Int J of Forecasting, 11(307-319) | and ,
Effects of feedback on probabilistic forecasts of stock prices (1995), in: Int J of Forecasting, 11(307-319) | and ,
Effects of Task Format on Probabilistic Forecasting of stock prices (1996), in: Int J of Forecasting, 12(9-24) | and ,
Effects of Task Format on Probabilistic Forecasting of stock prices (1996), in: Int J of Forecasting, 12(9-24) | and ,
Socio-Economic Development and International Migration: A Turkish Study (2002), in: International Migration, 39(39-62) | , and ,
J
A Behavioral Approach to Efficient Portfolio Formation (2006), in: J of Behavioral Finance | , and ,
Financial liberalisation: from segmented to integrated economies (2004), in: J of Economics and Business, 55(529-555) | and ,
An exploratory analysis of portfolio managers' probabilistic forecasts of stock prices (1994), in: J of Forecasting, 13(565-578) | and ,
An exploratory analysis of portfolio managers' probabilistic forecasts of stock-prices (1995), in: J of Forecasting, 13(565-578) | and ,
M
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 ,
R
Casuality between stock returns and macroeconomic variables in emerging markets (2002), in: Russian & East European Finance & Trade, 36(33-63) | , and ,
Forecasting integrated stock markets using international co-movements (2002), in: Russian & East European Finance & Trade, 37(45-62) | and ,