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Graduate Publications & Publications under Bilkent Affiliation |
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N.
Alemdar,
S. Sırakaya and S. Turnovsky, “Economic Growth, Trade, and
Environmental Quality in a Two-country World Economy”, Review
of International Economics (Forthcoming) N.
Alemdar ,
S. Sirakaya and F. Huseyin, “Optimal Time Aggregation
of Infinite
Horizon Control Problems”, Journal of Economics Dynamics and Control,
vol.30 (4), pp. 569-593 (2006) N. Alemdar, S. Sirakaya and S. Turnovsky, "Feedback Approximation of the Stochastic Growth Model by Genetic Neural Networks", Computational Economics, vol. 27, pp. 185-206 (2006 N. Alemdar and S. Sirakaya, "Genetic Neural Networks to Approximate Feedback Nash Equilibria in Dynamic Games", Computers and Mathematics with Applications, vol.46/10-11, pp. 1493-1509 (2003 N. Alemdar
and S. Sirakaya, “On-line Computation of Stackelberg Equilibria with
Synchronous Parallel Genetic Algorithms,” Journal
of Economic Dynamics and Control,
vol. 27(8), pp. 1503-1515 (2003) N. Alemdar and S. Özyıldırım, “Knowledge Spillover, Transboundary Pollution and Growth,” Oxford Economic Papers, vol. 54, no. 4, pp. 597-616 (2002). S. Özyıldırım and N. Alemdar, “Learning the Optimum as a Nash Equilibrium,” Journal of Economic Dynamics and Control, vol. 24, pp. 483-499 (2000). N. Alemdar and S. Özyıldırım, “A Genetic Game of Trade, Growth and Externalities,” Journal of Economic Dynamics and Control, vol. 22, pp. 811-832 (1998). M. Baç and P.K. Bag, “Strategic Information Revelation in Fundraising”, Journal of Public Economics (Forthoming) M. Baç, “On the Informational Content of Wage Offers,” International Economic Review, vol. 43, pp. 173-193 (2002). M. Baç, “Corruption, Connections and Transparency: Does a Better Screen Imply a Better Scene?” Public Choice, vol. 107, pp. 87-96 (2001). M. Baç, “To Invest or Screen Efficiently: A Potential Conflict in Relationships Governed by Incomplete Contracts,” International Journal of Industrial Organization, vol. 19, pp. 567-588 (2001). M. Baç, “On Creating and Claiming Value in Negotiations,” Group Decision and Negotiation, vol. 10, pp. 237-251 (2001). M. Baç and P.K. Bag, “Law Enforcement and Legal Presumptions,” Journal of Comparative Economics, vol. 29, pp. 722-748 (2001). M. Baç, “Switching Costs and Screening Efficiency of Incomplete Contracts,” Canadian Journal of Economics, vol. 33, pp. 1034-1048 (2000). M. Baç, “On the Job Training and Efficient Screening,” Journal of Labor Economics, vol. 18, pp. 681-701 (2000). M. Baç, “Signalling Bargaining Power: Strategic Delay versus Restricted Offers,” Economic Theory, vol. 16, pp. 2227-2237 (2000). M. Baç, “A Note on the Efficient Signalling of Bargaining Power,” International Journal of Game Theory, vol. 29, pp.119-126 (2000). M. Baç, “Grace Periods in Sovereign Debt,” Review of International Economics, vol. 7, pp. 322-327 (1999). M. Baç and İ. Sağlam, “Managerial Defections, Promotion Criteria and Firm Growth,” International Journal of Industrial Organization, vol.17, pp. 917-940 (1999). M. Baç, “The Scope, Timing and Type of Corruption,” International Review of Law and Economics, vol. 18, pp. 101-119 (1998). M. Baç, “Property Rights Regimes and the Management of Resources,” Natural Resources Forum, vol. 22, pp. 263-269 (1998). M. Baç and H. Raff, “A Theory of Trade Concessions,” Journal of International Economics, vol. 42, pp. 483-504 (1997). M. Baç, “Bilateral Relationships Governed by Incomplete Contracts,” Journal of Institutional and Theoretical Economics, vol. 153, pp. 320-333 (1997). M. Baç, “Corruption, Supervision and the Structure of Hierarchies”, Journal of Law, Economics and Organization, vol. 12, pp. 277-298 (1996) M. Baç, “Corruption, Supervision Costs in Hierarchies”, Journal of Comparative Economics, vol.22, pp. 99-118 (1996) M. Baç, “Incomplete Information and Incentives to Free Ride”, Social Choice and Welfare, vol. 13, pp. 419-432 (1996) M. Baç and H.Raff, “Issue by Issue Negotiation: The Role of Information and Time Preference”, Games and Economic Behaviour, vol.13, pp. 125-134 (1996) M. Baç, “Incomplete Information and Incentives to Free Ride on International Environment Resources”, Journal of Environmental Economics and Management, vol. 30, pp. 301-315 (1996) M. Baç, “On the Term Structure of Sovereign Debt Countries”, Review of International Economics, vol. 3, pp. 174-185 (1995) M. Baç, Opportunism and the Dynamics of the Incomplete Contracts”, International Economic Review, vol.34, pp. 663-683 (1993) E. Başçı and I. Sağlam, “Bertrand-Edgeworth Equilibrium in a Cash-in-Advance Economy, Oxford Economic Papers, (Forthcoming) E. Başçı, “Learning by Imitation,” Journal of Economic Dynamics and Control, vol. 23, pp.1569-1585 (1999). E. Başçı and M.R. Sertel, “Prakash and Sertel’s Theory of Non-Cooperative Equilibrium in Social Systems – Twenty Years Later”, Journal of Mathematical Economics, vol. 25, pp. 1-18 (1996) E. Başçı, S. Özyıldırım and K. Aydoğan, “A Note on Price-Volume Dynamics in an Emerging Stock Market”, Journal of Banking and Finance, vol. 20, pp. 389-400 (1996) H.
Berument, Y. Yalcin and J. Yildirim “The Effect of Inflation
Uncertainty on Inflation: Stochastic
Volatility in Mean Model within a Dynamic Framework Economic Modelling” Economic
Modelling 26, 1201–1207, (2009) H.
Berument, N. Ceylan and G. Eker “Soccer,
Stock Returns, and Fanaticism: Evidence from Turkey”, Social Science
Journal, 46, 594–600, (2009) H. Berument, N. Dogan and A. Tansel “Macroeconomic Policy and Unemployment by Economic Activity: Evidence from Turkey”, Emerging Markets Finance and Trade, May–June, Vol. 45, No. 3, pp. 21–34, (2009) H. Berument, and E.M. Yucel “Effects of USD-Euro Parity on a Small Open Economy: Evidence from Turkey”, Applied Economics, 40, 2165–2174, 2008. H. Berument, “Measuring Monetary Policy for A Small Open Economy: Turkey” Journal of Macroeconomics, vol. 29, pp. 411-30 (2007) H. Berument and E. Yuksel “ Effects of Adopting Inflation Targeting Regimes on Inflation Variability”, Physica A, vol. 375, issue 1, pp. 265-273 (2007) H. Berument, N. Ceylan and H. Olgun ““Inflation Uncertainty and Interest Rates: Is the Fisher Relation Universal?” Applied Economics, vol. 39, no. 1, pp. 53 – 68, (2007) H. Berument, G. Eker and B. Doğan “Football and Exchange Rates: Empirical Support for Behavioral Economics” Psychological Reports, vol. 101, pp. 643-654. (2007) H.
Berument, B.
Ceylan and B. Vural, “The Effects of Japanese Economic Performance on
Indonesia”, Applied Economic
Letters, vol.13, pp. 499-502 (2006) H.
Berument, N. Dogan, A. Tansel,
"Economic performance and unemployment: evidence from an emerging
economy," International Journal of Manpower, vol. 27, pp.
604-623 (2006). H.
Berument, N.B. Ceylan and E. Gozpinar
“Performance of Soccer on the Stock Market: Evidence from Turkey” Social
Science Journal, 43, 695-699 (2006). H.
Berument, O.İnce
and E. Yücel, “Success in Soccer and Economic Performance: Evidence
from Beşiktaş-Turkey, RISEC-International
Review of Economics and Business, vol.53, pp. 160-174 (2006) H.
Berument, Y.
Akdi and. S. Cilasun, "Relationship
Between Different Price Indices", Physica A,
vol.360, pp. 483-492 (2006) H.
Berument
and. J. Heckelman, “Fractionalization
Effect and Government Financing” International Journal of
Applied Economics, vol.2, pp. 37-49 (2005) H.
Berument
and. O. Ince, “Effect of S&P500’s Return on
Emerging Markets: Turkish Experience” Applied Financial
Economics Letter, 1 , 59-64, (2005) H.
Berument, Z. Kilinc and U. Ozlale, “The Missing Link
Between Inflation Uncertainty and Interest Rates" Scottish Journal
of Political Economy, 52(2),
222-241 (2005) H.
Berument
and E. Yücel “Long Live Fenerbahçe: The Production Boosting Effects of
Football in Turkey” Journal of Economic Psychology. 26, 842-861
(2005) H.
Berument
and N. Dinçer “Denomination Composition of Trade and Trade
Balance: Evidence from Turkey” Applied Economics, 37, 1177-91
(2005) H.
Berument,
Y. Akdi and C. Atakan "An Empirical Analysis of Istanbul Stock
Exchange Sub-Indexes" Studies Nonlinear Dynamics and Econometrics
9(3), Article 5 (2005) H.Berument
and N.
Dinçer “Inflation and Inflation Uncertainty in the G-7
Countries” Physica A
348 371–379, (2005) H. Berument and E. Yücel “Return and Maturity Relationship for Treasury Auctions: Theory and Evidence from Turkey” Fiscal Studies 26(3), 385-419 (2005) H.
Berument
and. B. Doğan, “The Asymmetric Effects of Government
Spending Shocks: Empirical Evidence from Turkey” Journal
of Economic and Social Research, vol.6, pp. 1-17 (2004) H.
Berument,
Z. Kilinc and U. Ozlale,
“The Effects of Different Inflation Risk Premiums on Interest
Rate Spreads”, Physica A,
333, 317-324 (2004) H.
Berument
and N. Dincer, “Do Capital Flows Improve Macroeconomic
Performance in Emerging Markets”, Emerging Markets Finance and Trade,
40(4), 20-32
(2004) H. Berument and N. Dincer, “The Effects of Exchange Rate Risk on Economic Performance: The Turkish Experience” Applied Economics, 36, 2429-2441 (2004) H.
Berument, and Z.
Kilinc, “The
Effects of Foreign Income on Economic Performance of a Small-Open Economy:
Evidence from Turkey”, Applied Economics Letters, vol.
11, pp. 483-488
(2004) H.Berument
and H. Tasci, “Monetary Policy Rules in Practice:
Evidence from Turkey”, International Journal of Finance
and Economics, vol. 9, pp. 33-38 (2004) H.
Berument,
K. Metin-Özcan and B. Neyapti, “Dynamics
of Inflation and Inflation Inertia in Turkey”, Journal of
Economic Cooperation, , vol. 25(3), pp. 63-86
(2004) H.
Berument
and H.Kiymaz, “The Day of the Week Effect on Stock
Market Volatility and Volume: International Evidence”, Review
of Financial Economics, vol. 12(4), pp. 363-380 (2003) H. Berument and B. Doğan, “Openness and the Effectiveness of Monetary Policy: Empirical Evidence from Turkey,” Applied Economics Letters, vol. 10, no. 4, pp. 217-221 (2003) H. Berument and A. Günay, “Exchange Rate Risk and Interest Rate: A Case Study for Turkey,” Open Economies Review, vol. 14, no. 1, pp.19-27 (2003). H. Berument, “Public Sector Pricing Behavior and Inflation Risk Premium in Turkey,” Eastern European Economics, vol. 41, no. 1, pp. 68-78 (2003). H. Berument and M. Jelassi, “Fisher Hypothesis: A Multi-Country Analysis,” Applied Economics, vol. 34, pp. 1645-1655 (2002). H. Berument and H. Taşçı, “Inflationary Effect of Crude Oil Prices in Turkey,” Physica A, vol. 316, pp. 568-580 (2002) H. Berument and H. Taşçı, “Monetary Policy, Income and Prices: A Stability Assessment,” Applied Economics Letters, vol. 9, pp. 685-694 (2002). H. Berument and H. Kıymaz, “The Day of the Week Effect on Stock Market Volatility,” Journal of Economics and Finance, vol. 25, no. 2, pp. 181-193 (2001). H. Berument, K. Malatyalı and B. Neyaptı, “Turkey's Full Membership to the European Union: An Investigation in View of the Business Cycles,” Russian and East European Finance and Trade, vol. 37, no. 4, pp. 50-60 (2001). H. Berument and K. Malatyalı, “Determinants of Interest Rates in Turkey,” Russian and East European Finance and Trade, vol. 37, no. 1, pp. 5-16 (2001). E. Alper, H. Berument and K. Malatyalı, “The Impact of the Disinflation Program on the Structure of the Turkish Banking Sector,” Russian and East European Finance and Trade, vol. 37, no. 6, pp. 81-95 (2001). H. Berument, K. Malatyalı and Emre Alper, “The Impact of the Disinflation Program and the Structure of the Turkish Banking Sector”, Russian and East European Finance and Trade, vol. 37, no. 6, pp. 81-95 (2001). H. Berument and K. Malatyalı, “Determinants of Interest Rates in Turkey”, Russian and East European Finance and Trade, vol. 37, no. 1, pp. 5-16 (2001). H. Berument, Bilin Neyaptı and K. Malatyalı, “Turkey’s Full Membership to the European Union”, Russian and East European Finance and Trade, vol. 37, no. 4, pp. 50-60 (2000) H. Berument, K. Malatyalı, “The Implicit Reaction Function of the Central Bank of the Republic of Turkey,” Applied Economics Letters, vol. 7, pp. 425-430 (2000). H. Berument, “The Impact of Inflation Uncertainty on Interest Rates in the UK,” Scottish Journal of Political Economy, vol. 46, pp. 207-218 (1999). G. Muradoğlu, H. Berument and K. Metin, “Financial Crisis and Changes in Determinants of Risk and Return: An Empirical Investigation of Emerging Markets,” Multinational Finance Journal, vol. 3, no. 4, pp. 223-252 (1999). H. Berument, “Central Bank Independence and Financing Government Spending,” Journal of Macroeconomics, vol. 20, pp. 133-152 (1998). H. Berument and R. Froyen, “Potential Information and Target Variables for UK Monetary Policy,” Applied Economics, vol. 30, pp. 449-463 (1998). H. Berument and R. Froyen, “Political Business Cycles and Endogenous Elections,” Southern Economic Journal, vol. 64, pp. 987-1000 (1998). H. Berument, “Financing Divided Governments,” Applied Economics Letters, vol. 4, pp. 369-372 (1997). A. Ertuğrul and E. Yeldan, “On the Structural Weakness of the Post – 1999 Turkish Disinflation Program”, Turkish Studies, Vol. 4, pp. 53-56 (2003) M. M. Dacorogna, R. Gençay, U.A. Müller, O.V. Pictet, “Effective Return, Risk Aversions and Drawdowns,” Physica A, vol.289, pp. 229-248 (2001). J. Arifovic, R. Gencay, "Statistical Properties of Genetic Algorithm Learning in a Model of Exchange Rate," Journal of Economic Dynamics and Control, vol. 24, pp. 981-1005 (2000). R.
Gurkaynak,
M. Ehrmann, M. Fratszcher and E. Swanson, “Convergence and Anchoring of
Yield Curves in the Euro Area” Review of Economics and Statistics,
(Forthcoming) R.
Gurkaynak,
A. Levin and E. Swanson, “Does Inflation Targeting Anchor
Long-Run Inflation Expectations? Evidence from Long-Term Bond Yields in
the U.S., U.K., and Sweden,” Journal of the European Economic
Association, (Forthcoming) R. Gurkaynak, Z. Aktaş, H. Alp, M. Kesriyeli and M. Orak, “Türkiye'de para politikasının aktarımı: Para politikasının mali piyasalara etkisi” İktisat, İşletme ve Finans, 9-24 (2009) R.
Gurkaynak, “The U.S. Treasury Yield Curve:
1961 to the Present.” (with Brian Sack and Jonathan Wright) Journal
of Monetary Economics, vol. 54(8), pp. 2291-2304
(2007) R.
Gurkaynak, “Market-Based
Measures of Monetary Policy Expectations.” (with Brian Sack
and Eric Swanson) Journal of Business and Economic Statistics, vol.
25(2), pp. 201-12 (2007) R. Gurkaynak, “Econometric
Tests of Asset Price Bubbles: Taking Stock,” Journal of Economic Surveys, (Forthcoming) R.
Gurkaynak,
B. Sack, E. Swanson, “Do Actions Speak Louder Than Words? The Response
of Asset Prices to Monetary Policy Actions and Statements”, Int
J of Central Banking, vol.1, pp. 55-93 (2005) R.
Gurkaynak,
B. Sack, E. Swanson, “The Sensitivity of Long-Term Interest Rates to
Economic News” American Economic Review, 95(1), pp. 425-36,
(2005) K.
Hasker, R.
Gonzales and R. Sickles, "An Analysis of Strategic Behavior in eBay
Auctions." The Singapore
Economic Review, Vol. 54, No. 2:1–32 (2009) K.
Hasker,
"Social Norms and Choice: A General Folk Theorem for Repeated
Matching Games with Endogenous Matching Rules." International
Journal of Game Theory.
vol. 36, pp. 137-146, (2007) Ç.
Ökten
and K. Hasker,
“Intermediaries and Corruption”, Journal of Economic Behavior &
Organization, vol.67, no.1, 103-115, (2008) F.
Hüseyin,
“Alpha-maxmin solutions to fair division problems and the structure of
the set of Pareto utility profiles”, Mathematical Social
Sciences, Vol. 57, No. 2, 279-281, (2009) F.
Huseyin
and Ö. Evren, ‘Theorems on the core of an economy with infinitely many
commodities and consumers,’ Journal of Mathematical Economics,
Vol. 44, no. 11, 1180-1196,
(2008) F.
Huseyin,
‘Existence of the core in a heterogeneous divisible commodity exchange
economy,’ International Journal of Game Theory, Vol. 37, nu. 3,
387-395, (2008) N.
Alemdar ,
S. Sirakaya and F. Huseyin, “Optimal Time Aggregation
of Infinite
Horizon Control Problems”, Journal of Economics Dynamics and Control,
vol.30 (4), pp. 569-593 (2006) F.
Huseyin,
“A Characterization of Polyhedral Convex Sets,” Journal of Convex Analysis, vol. 11, no. 1,
pp. 245-250
(2004). F. Huseyin,
“Theorems on Correspondences and Stability of the Core,” Economic
Theory, vol.22, no.4, pp. 893-902
(2003) F. Huseyin, “Relaxation of Multidimensional Variational Problems with Constraints of General Form,” Journal of Nonlinear Analysis: Series A Theory and Methods, vol. 45, pp. 651-659 (2001). F. Huseyin, “A Note on the Closedness of the Convex Hull and Its Applications,” Journal of Convex Analysis, vol. 6, pp. 1-7 (1999). F. Huseyin, “Boundary Behavior of Excess Demand and Existence of Equilibrium,” Journal of Economic Theory, vol. 87, pp. 434-449 (1999). F. Huseyin, “Equitable Nature of Core Allocations in Atomless Economies,” Review of Economic Design, vol. 3, no. 2, pp. 129-135 (1998). F. Huseyin, “Spannability of Functions,” Matematicheskie Zametki (Math. Notes Acad. Sci. Russia), vol. 61, pp. 623- 626 (1997). F. Huseyin, “Characterization of Spannability of Functions,” Journal of Mathematical Economics, vol. 28, no. 1, pp. 29-40 (1997). F. Huseyin, “Overlapping of Functions,” Mathematical Notes of Acad. Sci. Russia, vol. 4, pp. 623-626 (1997). F. Huseyin, “Weierstrass Condition for the General Basic Variational Problem: Proceedings of the Royal Society of Edinburgh, no.125 A, p. 801-806, (1995). F. Huseyin, “Coercivity o Integral Functionals and Existence Theorems for Extremal Problems”, Nonlinear Analysis: Theory, Methods and Applications, 25, no. 11, p. 1181-1189, (1995). F. Huseyin, “Interpretation of Aubin’s Fuzzy Coalitions and Their Extension: Relaxation of Finite Exchange Economies”, Journal of Mathematical Economics, no. 23, p.499-516 (1994). S.
Koray
and A. Slinko, "Self-Selective Social Choice Functions", Social
Choice and Welfare, Volume 31, pp. 129-149, 2008. S.
Koray and A. Slinko, "Self-Selective
Social Choice Functions", Social Choice and Welfare,
(Forthcoming) S.
Koray, I.
Saglam,
“The Need for Regulating a Bayesian Regulator”, Journal of Regulatory Economics, Volume 28, 5-21, (2005) S. Koray
and B. Unel, “Characterization of Self-Selective Social Choice Functions
on the Tops-Only Domain,” Social
Choice and Welfare, vol.20, no.3, pp. 495-507 (2003) S. Koray
and M. Sertel,
“Introduction”, Advanced in
Economic Design, pp. 1-15, Springer
Verlag (2003) S. Koray and
R.
Kerschbamer, “Multiprinciples Multiagents Incentive Design,” Review
of Economic Design, vol. 6, no. 1, pp. 5-40 (2001). S. Koray, “Consistent Social Choice Functions Verify Arrow and Gibbard-Satterthwaite Theorems,” Econometrica, vol. 68, pp. 981-995 (2000). T. Ichiishi and S. Koray, “Job Matching: A Multi-Principal, Multi-Agent Model,” Advances in Mathematical Economics, vol. 2, pp. 41-66 (2000). E.
Bascı, S. Mahmud
and E. Yucel, “Money and Productive Efficiency: Evidence from a High
Inflation Country”, Emerging
Markets Finance and Trade, vol.43, pp. 67-76 (2007) S.
Mahmud, “Environment
Kuznets curve for CO2 emissions: A cointegration analysis for China”, Energy
Policy, 37, 5167-5172 (2009) S.
Mahmud,
N. Demir and S. Babuscu, "The Technical Inefficiency Effects of
Turkish Banks after Financial Liberalization", Developing
Economies, Vol. XLIII, No.3, 396-411, (2005) S.
Mahmud,
Aman Ullah, E. Yucel, "Testing Marshall-Lerner Condition: A
Non-Parametric Approach", Applied Economics Letters, vol.11,
pp.231-236, (2004) S. Mahmud and N. Demir, "Agro-Climatic Conditions and Regional Inefficiencies in Agriculture", Canadian Journal of Agricultural Economics, vol.50, pp.269-280 (2003) S. Mahmud, “Monetary Aggregation and Money in Production Function,” Pakistan Journal of Applied Sciences, vol. 2, pp. 270-272 (2002). S. Mahmud and O. Zaim, “The Sources of Productivity Growth in the Agricultural Sector of Pakistan,” Journal of Quantitative Economics, vol. 16, pp. 37-44 (2001). S. Mahmud, “The Energy Demand in the Manufacturing Sector of Pakistan: Some Further Results,” Energy Economics, vol. 22, pp. 641-648 (2000). S. Mahmud and N. Demir, “Regional Technical Efficiency Differentials in the Turkish Agriculture: A Note,” Indian Economic Review, vol. 33, pp. 197-206 (1999). S. Mahmud and O. Zaim, “Cost Structure of Turkish Banking Industry: AGL Cost Function Approach”, METU Studies in Development ,Vol. 25, 3, (1998.) S. Mahmud, “Money in Production Function: Some Further Results,” Pakistan Economic and Social Review, vol. 35, pp. 1-9 (1997). M. A. Hasan and S. Mahmud, “Is Money an Omitted Variable in the Production Function? Some Further Results,” Empirical Economics, vol. 18, pp. 431-445 (1993). K. Metin-Özcan and M. İsmihan,
“Productivity and Growth in an Unstable Emerging Market Economy: The
Case of Turkey, 1960-2004” Emerging markets Finance and Trade,
Vol 45, No. 5 , pp4-18 (2009) K.
Metin-Özcan
and Ü. Özlale “An Alternative Method to Measure the likelihood
of a Financial crisis in an Emerging Market”, Physica
A: Statistical Mechanics and its Applications, vol.
381, pp. 329-337 (2007) K.
Metin-Özcan and V. Us ”Dedollarization In
Turkey After Decades Of Dollarization:A Myth Or Reality”, Physica
A: Statistical Mechanics and its Applications,
Volume
385, pp. 292-306 (2007) K. Metin Özcan
and K. Şimşek, “Turkish Banking Crisis and the Debt Restructing
Process: Istanbul Approach, Financial
Crisis in Emerging Markets: Capital Flow, Saving, Debt and Banking
Reforms, pp. 96-129, Net Publishers (2005) K. Metin Özcan
and Z. Özcan,
“Determinants of Private Savings in the Middle East and North Africa”,
Money and Finance in the Middle East: Missed Opportunities or Future
Prospects?”, Research in Middle
East Economics, pp. 95-113, Elsevier (2005) A.
Gunay, K. Metin Özcan and E.
Yeldan “Real wages, Profit Margins and Inflation in Turkish
Manufacturing Under Post Liberalization”, Applied Economics,
Vol. 37, 1899-1905, (2005) M.
Ismihan, K. Metin-Özcan and A.
Tansel “Macroeconomic Instability, capital Accumulation and Growth: The
Case of Turkey 1963-1999”, Applied Economics, Vol. 37, 239-251,
(2005) V.
Us and K. Metin-Özcan “Inflation
Expectations Under High and Persistence Inflation: Optimal Univariate
Expectations as an Alternative”, Physica A, Vol. 346, ıssues
3-4, pp. 499-517, (2005) O.
T. Aydas, K. Metin-Ozcan and B.
Neyapti “Determinants of Workers Remittances: The Case of Turkey”,
Emerging Markets Finance and Trade, Vol. 41, 53-69, (2005) K.
Metin-Özcan, S.Ertaç
and A. Günay, “Determinants of Private Savings Behaviour in Turkey”, Applied
Economics, vol.35, pp.1405-1416
(2003) Özcan, Y. Z. and K. Metin-Özcan, “Measuring Poverty and Inequality in Turkey, 2001”, Topics in Middle Eastern and North African Economies, electronic journal, Volume 5, Middle East Economic Association and Loyola University Chicago, September, (2003). K. Metin-Özcan, A. Günay and S. Ertaç, “Determinants of Private Savings Behaviour in Turkey” Applied Economics, Vol. 35, No:12 pp.1405 – 1416 (2003). Y. Z. Özcan, K. Metin-Özcan and S. Üçdoğruk, “Wage Differences by Gender, Wage and Self Employment in Urban Turkey,” Journal of Economic Cooperation, Vol. 24, No. 1, pp.1-24 (2003). Y. Z. Özcan and K. Metin-Özcan, “Determinants of Youth Smoking,” Substance Use and Misuse, vol. 37, no. 3, pp. 313-336 (2002). K. Metin-Özcan, E. Voyvoda and E. Yeldan, “The Impact of the Liberalization Program on the Price-Cost Margin and Investment of Turkey's Manufacturing Sector After 1980,” Emerging Markets Finance and Trade, vol. 38, no. 5, pp. 71-101 (2002). K. Metin and G. Muradoğlu, “Forecasting Integrated Regional Stock Markets Using International Co-movements,” Russian and East European Finance and Trade, vol. 37, no. 5, pp. 45-63 (2001). G. Muradoğlu, K. Metin and R. Argaç, “Is There a Long Run Relationship Between Stock Returns and Monetary Variables?” Applied Financial Economics, vol. 11, pp. 641-649 (2001). K. Metin-Özcan, E. Voyvoda and E. Yeldan, “Dynamics of Macroeconomic Adjustment in a Globalized Developing Economy: Growth, Accumulation and Distribution, Turkey 1969-1998,” Canadian Journal of Development Studies, vol. 22, pp. 219-253 (2001). K. Metin and İ. Muslu, “Money Demand, the Cagan Model, Testing Rational Expectations vs Adaptive Expectations: The Case of Turkey,” Empirical Economics, vol. 24, pp. 415-426 (1999). K. Metin, “The Relationship Between Inflation and the Budget Deficit in Turkey,” Journal of Business, and Economics Statistics, vol. 16, pp. 412-422 (1998). K. Metin and G. Muradoğlu, “Efficiency of the Turkish Stock Exchange with Respect to Monetary Variables: A Cointegration Analysis,” European Journal of Operational Research, vol. 90, pp. 566-576 (1996). K. Metin, “An Integrated Analysis of Turkish Inflation,” Oxford Bulletin of Economics and Statistics, vol. 57, pp. 513-531 (1995). B. Neyaptı, “Fiscal Decentralization and Deficits: International Evidence”, European Journal of Political Economy, (Forthcoming) B.
Neyaptı
and Dinçer, N, “Legal Quality of Bank Regulation and Supervision
and Its Determinants: a mixed sample”,
Contemporary Economic Policy, Vol, 26: 4,. pp. 607-622
(2008) B.
Neyaptı and S. Özgür,
“The Roles of Fiscal and Financial Discipline on Budgetary Outcomes: The
Case of Europe”, Contemporary
Economic Policy, vol.
25 (2), pp. 146-155 (2007) B.
Neyaptı, F. Taşkın and M.
Üngör, “Has Custom Union Really Affected Turkey’s Trade”, Applied
Economics, vol. 39, pp.2121-2132 (2007) B.
Neyaptı, “Revenue
Decentralization and Income Distribution”, Economic
Letters, vol. 92, pp. 409-416 (2006) B.
Neyaptı and N. Dinçer, "Measuring the Quality Of Bank
Regulation And Supervision, with an Application to Transition
Economies", with, Economic Inquiry 43,
79-99. (2005) O.T.
Aydas, B. Neyapti and K Metin-Ozcan, “ Determinants of
Workers Remittances: the Case of Turkey”, Emerging
Markets Finance And Trade,
vol.41, pp. 53-69 (2005) B. Neyaptı,
"Fiscal Decentralization, Central Bank Independence and Inflation: A
Panel Investigation”, Economics Letters, vol.82, pp.227-230
(2004) B. Neyaptı,
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