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Graduate Publications & Publications under Bilkent Affiliation |
N. Alemdar and S. Sirakaya "Genetic Neural Networks to Approximate Feedback Nash Equilibria in Dynamic Games", Computers and Mathematics with Applications (Forthcoming) N. Alemdar and S. Sırakaya, “On-line Computation of Stackelberg Equilibria with Synchronous Parallel Genetic Algorithms,” Journal of Economic Dynamics and Control (Forthcoming). 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, Zübeyir Kilinc and Umit Ozlale, "The Effects of Different Inflation Risk Premiums on Interest Rate Spreads", Physica A, vol. 333, pp. 317-324 (2004) H. Berument and M. Paşaoğulları, “Effects of the Real Exchange Rate on Output and Inflation: Evidence from Turkey”, Developing Economics, (Forthcoming) H. Berument and N. Dinçer, “Capital Inflow and Macroeconomic Performance in Emerging Markets: The Turkey Experience”, Emerging Markets Finance and Trade, (Forthcoming) H. Berument and H. Taşçı, “Monetary Policy Rules in Practice: Evidence from Turkey”, International Journal of Finance and Economics, (Forthcoming) 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). 13. 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). F. Husseinov, “Theorems on Correspondences and Stability of the Core,” Economic Theory (Forthcoming). F. Husseinov, “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. Husseinov, “A Note on the Closedness of the Convex Hull and Its Applications,” Journal of Convex Analysis, vol. 6, pp. 1-7 (1999). F. Husseinov, “Boundary Behavior of Excess Demand and Existence of Equilibrium,” Journal of Economic Theory, vol. 87, pp. 434-449 (1999). F. Husseinov, “Equitable Nature of Core Allocations in Atomless Economies,” Review of Economic Design, vol. 3, no. 2, pp. 129-135 (1998). F. Husseinov, “Spannability of Functions,” Matematicheskie Zametki (Math. Notes Acad. Sci. Russia), vol. 61, pp. 623- 626 (1997). F. Husseinov, “Characterization of Spannability of Functions,” Journal of Mathematical Economics, vol. 28, no. 1, pp. 29-40 (1997). F. Husseinov, “Overlapping of Functions,” Mathematical Notes of Acad. Sci. Russia, vol. 4, pp. 623-626 (1997). F. Husseinov, “Weierstrass Condition for the General Basic Variational Problem: Proceedings of the Royal Society of Edinburgh, no.125 A, p. 801-806, (1995). F. Husseinov, “Coercivity o Integral Functionals and Existence Theorems for Extremal Problems”, Nonlinear Analysis: Theory, Methods and Applications, 25, no. 11, p. 1181-1189, (1995). F. Husseinov, “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 B. Ünel, “Characterization of Self-Selective Social Choice Functions on the Tops-Only Domain,” Social Choice and Welfare (Forthcoming). R. Kerschbamer and S. Koray, “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). S. Mahmud, Aman Ullah, Eray Yucel, "Testing Marshall-Lerner Condition: A Non-Parametric Approach", Applied Economics Letters, (Forthcoming) Syed F. Mahmud and Nazmi Demir, "Agro-Climatic Conditions and Regional Inefficiencies in Agriculture", Canadian Journal of Agricultural Economics, (Forthcoming, 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). Syed F. Mahmud and Osman 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 Y. Z. Özcan, “Determinants of Private Saving in MENA Region,” Research in Middle East Economics, Vol. 6, (Forthcoming). K. Metin-Özcan and K. Şimşek, “Turkish Banking Crisis and the Debt Restructuring Process: Istanbul Approach” International Review of Applied Economics, (Forthcoming) 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). http://www.luc.edu/publications/academic/ 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). Cukierman, G. Miller and B. Neyaptı, “Central Bank Reform, Liberalization and Inflation in Transition Economies - An International Perspective,” Journal of Monetary Economics, vol. 49, pp. 237-264 (2002). B. Neyaptı, "Fiscal Decentralization, Central Bank Independence and Inflation: A Panel Investigation”, Economics Letters, (forthcoming) B. Neyaptı, "Trends in Workers Remittances: A World-Wide Overview”, Emerging Markets Trade and Finance, (forthcoming) B. Neyaptı, "Budget Deficits and Inflation: The Roles of Central Bank Independence and Financial Market Development," Contemporary Economic Policy, Vol. 21, Number 4, pp. 458-475, (2003). B. Neyaptı, “Central Bank Independence and Economic Performance in Eastern Europe,” Economic Systems, vol. 25, pp. 381-399 (2001). P. Arın and Ç. Ökten, “Determinants of Privatization Prices: Evidence from Turkey”, Applied Economics, (forthcoming) Ç. Ökten and B. Weisbrod, “Determinants of Donations in Private Nonprofit Markets,” Journal of Public Economics, vol. 75, no. 2, pp. 255-272 (2000). Ü. Özlale, “Price Stability vs Output Stability: Tales from Federal Reserve Administrations, ” Journal of Economic Dynamics and Control (Forthcoming). I. Pastine, “Speculation and the Decision to Abandon a Fixed Exchange Rate Regime,” Journal of International Economics, vol. 57, pp. 197-229 (2002). T. Pastine and I. Pastine, “Consumption Externalities, Coordination, and Advertising,” International Economic Review, vol. 43, pp. 919-943 (2002). R. Cumby and T. Pastine, “Emerging Market Debt: Measuring Credit Risk and Testing the Predicability of Excess Returns,” Journal of International Money and Finance, vol. 20, pp. 591-609 (2001). I. Pastine, “Devaluation of Fixed Exchange Rates: Optimal Strategy in the Presence of Speculation,” Economic Theory, vol. 15, pp. 631-661 (2000). I. Pastine and T. Pastine, “Migration, Intermediate Inputs and Real Wages,” Journal of International Trade and Economic Development, vol. 6, no. 3, pp. 419-425 (1997). S. Sayan, “H-O for H2O: Can the Heckscher-Ohlin Framework Explain the Role of Free Trade in Distributing Scarce Water Resources in the Middle East?”, Review of Middle East Economics and Finance, (Forthcoming) S. Sayan, “Guest Workers’ Remittances and Output Fluctuations in Host and Home Countries: The Case of Remittances from Turkish Workers”, Emerging Markets Finance and Trade, (Forthcoming) S. Sayan and N. Demir, “Structural Change in Agriculture and Water Requirements in Turkey,” Research in Middle East Economics, vol. 5, pp. 289-315 (2003). S. Sayan, “Turning Potential Retirees into Workers: Pension Reform Act of 1999 and Beyond in Turkey,” Middle East Business and Economic Review, vol. 14, no.2, pp. 54-70 (December 2002). T. Teksöz and S. Sayan, “Simulation of Benefits and Risks after the Planned Privatization of Pension System in Turkey: Is the Expected Boost to Financial Markets Likely?” Emerging Markets Finance and Trade, vol. 38, no. 5, pp. 22-44 (2002). S. Sayan, “The Contribution of Black Sea Economic Cooperation Organisation to Regional Development,” South East Europe Review, no. 2, pp. 25-34 (2002). Z. Kotan and S. Sayan, “A Comparative Investigation of the Price Competitiveness of Turkish and South East Asian Exports in the European Union Market: 1990-1997,” Emerging Markets Finance and Trade, vol. 38, no. 4, pp. 57-83 (2002). T. Kenç and S. Sayan, “Demographic Shock Transmission from Large to Small Countries: An Overlapping Generations CGE Analysis,” Journal of Policy Modeling, vol. 23, no. 6, pp. 677-702 (2001). S. Sayan and A. Kiracı, “Parametric Pension Reform with Higher Retirement Ages: A Computational Investigation of Alternatives for a Pay-As-You-Go Based Pension System,” Journal of Economic Dynamics and Control, vol. 25, no. 6-7, pp. 951-966 (2001). S. Sayan and A. Kiracı, “Identification of Parametric Policy Options for Rehabilitating a Pay-As-You-Go Based Pension System: An Optimisation Analysis for Turkey,” Applied Economics Letters, vol. 8, no. 2, pp. 89-93 (2001). S. Sayan and N. Demir, “Measuring the Degree of Block Interdependence Between Agricultural and Non-Agricultural Sectors in Turkey,” Applied Economics Letters, vol. 5, pp. 329-332 (1998). F. Selçuk, R. Gençay and B. Whitcher, “Multiscale Systematic Risk”, Journal of International Money and Finance, (Forthcoming). F. Selçuk, and R. Gençay “Extreme Value Theory and Value at Risk: Relative Performance in Emerging Markets”, International Journal of Forecasting, (Forthcoming). F. Selçuk “Financial Earthquakes, Aftershocks and Scaling in Emerging Markets,” Physica A, vol. 333, pp. 306 -316 (2004). F. Selçuk, R. Gençay and A. Ulugülyağcı, “High Volatility, Tick Tails and Extreme Value Theory in Value at Risk Estimation”, Insurance: Mathematics and Economics, vol. 33, pp. 337-356 (2003). F. Selçuk “Currency Substitution: New Evidence from Emerging Economies,” Economics Letters, vol. 78, pp. 219-224 (2003). R. Gençay, F. Selçuk and B. Whitcher, “Systematic Risk and Timescales,” Quantitative Finance, vol. 3, pp. 1-9 (2003) F. Selçuk, “Seigniorage, Currency Substitution and Inflation in Turkey,” Russian and East European Finance and Trade, vol. 37, no. 6, pp. 41-50 (2001). F. Selçuk and E. Yeldan, “On the Macroeconomic Impact of the August 1999 Earthquake in Turkey: A First Assessment,” Applied Economics Letters, vol. 5, pp. 483-488 (2001). A. Ertuğrul and F. Selçuk, “A Brief Account of the Turkish Economy: 1980-2000,” Russian and East European Finance and Trade, vol. 37, no. 6, pp. 6-28 (2001). R. Gencay and F. Selçuk, “Software Review: Matlab Neural Network Toolbox,” International Journal of Forecasting, vol. 17, pp. 305-317 (2001). R. Gencay, F. Selçuk and A. Ulugülyağcı, “EVIM: A Software Package for Extreme Value Analysis in MATLAB,” Studies in Nonlinear Dynamics and Econometrics, vol. 5, pp. 213 -239 (2001). R. Gencay, F. Selçuk and B. Whitcher, “Scaling Properties of Foreign Exchange Volatility,” Physica A, vol. 289, pp. 249-266 (2001). R. Gencay, F. Selçuk and B. Whitcher, “Differentiating Intraday Seasonalities Through Wavelet Multi-Scaling,” Physica A, vol. 289, pp. 543-556 (2001). R. Gencay and F. Selçuk, “A Visual Goodness of Fit Test for Econometric Models,” Studies in Nonlinear Dynamics and Econometrics, vol. 3, no. 3, pp. 157-167 (1998). F. Selçuk, “GMM Estimation of Currency Substitution in a High Inflation Economy,” Applied Economics Letters, vol. 4, pp. 225-228 (1997). F. Selçuk, “Currency Substitution in Turkey,” Applied Economics, vol. 26, pp. 509-518 (1994). F. Taskin and G. Muradoglu, “Financial Liberalization: from segmented to integrated economies,” Journal of Economics and Business, vol.55 (forthcoming in 2003) G. Muradoglu, F. Taskin, I. Bigan “Causality between stock returns and macroeconomic variables in emerging markets.”, Russian and East European Finance and Trade, Vol.36, No.6 (2001) F. Taşkın and O. Zaim, “The Role of International Trade on Environmental Efficiency,” Economic Modelling, vol. 18, pp. 1-17 (2001). F. Taşkın and O. Zaim, “Development Strategy and Bias in Technological Change,” Global Economy Quarterly, vol. 1, pp.191-204 (2000). F. Taşkın and O. Zaim, “Searching for a Kuznets Curve in Environmental Efficiency Using Kernel Estimation,” Economics Letters, vol. 68, pp. 217-223 (2000). F. Taşkın and O. Zaim, “Catching-up and Innovation in High and Low Income Countries,” Economics Letters, vol. 54, pp. 93-96 (1997). F. Taşkın and G. Muradoğlu, “Differences in Household Savings Behavior: Evidence from Industrial and Developing Countries,” Developing Economies, vol. 34, pp. 138-153 (1996). S. Togan, “Turkey: Towards EU Accession”, World Economy, (Forthcoming). S. Togan, “Effects of Turkey-EU Customs Union and Prospects for the Future, ”Russian and East European Finance and Trade (Forthcoming). S. Togan, “Domestic Implications of the Trade Agreements EU has Concluded with Mediterranean Countries,” Cuadernos del Centro Espanol de Relationes Internacionales, vol. 5, pp. 60-79 (1999). S. Togan, “Opening up the Turkish Economy in the Context of the Customs Union with EU,” Journal of Economic Integration, vol. 12, pp. 157-179 (1997). S. Togan, “Trade Policy Review of the Republic of Turkey,” World Economy, vol., pp. 107-120 (1995). S. Togan, “Tariff Equilibrium with Customs Union,” Pakistan Development Review, vol. 33, pp. 1217-1228 (1995). S. Togan, “How to Assess the Significance of Export Incentives: An Application to Turkey,” Weltwirtschaftlichen Archiv, vol. 129, pp. 777-800 (1993). V. Us, "Analyzing the Persistence of Currency Substitution Using a Ratchet Variable: The Turkish Case", Emerging Markets Finance and Trade, vol.39, n.04,pp. 58-81. F. Dogruel, S. Dogruel and E.Yeldan"Macroeconomics Of Turkey’s Agricultural Reforms: An Intertemporal Computable General Equilibrium Analysis", Journal of Policy Modeling, (Forthcoming). E.Yeldan “Introduction: The Rising hegemony of Global Finance and the Demise of Development” Canadian Journal of Development Studies, 24(2): 211-213, June, 2003 G. Biçer and E. Yeldan “Patterns of Financial capital Flows and accumulation in the Post-1990 Turkish Economy” Canadian Journal of Development Studies, 24(2): 250-265, June, 2003. A. Ertugrul and E. Yeldan “On The Structural Weaknesses Of The Post-1999 Turkish Dis-Inflation Program” Turkish Studies Quarterly, 4(2): 53-66, Summer, 2003. X. Diao, W Li and E. Yeldan “On the Deifferential Impact of the Asian Crisis on the World Economy: A General Equilibrium Perspective”, Pacific Economic Review, 7(3): 519-543, 2002 E. Voyvoda and E.Yeldan, “Patterns of Productivity Growth and the Wage Cycle in Turkish Manufacturing,” International Review of Applied Economics, vol. 15, no. 4, pp. 375-396 (2001). I. Adelman and E.Yeldan, “Is This the End of Economic Development?” Structural Change and Economic Dynamics, vol. 11, pp. 95-109 (2000). I. Adelman and E. Yeldan, “Minimum Conditions for a Financial Crisis: A Computable General Equilibrium Analysis with a Multiregional Intertemporal Model,” World Development, vol. 28, pp. 1087-1100 (2000). Ü. Cizre-Sakallıoğlu and E. Yeldan, “Politics, Society and Financial Liberalization: Turkey in the 1990s,” Development and Change, vol. 31, pp. 481-508 (2000). X. Diao, T. Roe and E. Yeldan, “Strategic Policies and Growth: An Applied Model of R&D-Driven Endogenous Growth,” Journal of Development Economics, vol. 60, pp. 343-380 (1999). X. Diao, T. Roe and E. Yeldan, “How Fiscal (Mis-) Management May Impede Trade Reform: Lessons From an Intertemporal, Multi-Sector General Equilibrium Model for Turkey,” The Developing Economies, vol. 37, pp. 59-88 (1999). J. Mercenier and E. Yeldan, “A Plea for Greater Attention to Data in Policy Analysis,” Journal of Policy Modeling, vol. 21, pp. 851-873 (1999). E. Yeldan, “On Structural Sources of the 1994 Turkish Crisis: A CGE Modeling Analysis,” The International Review of Applied Economics, vol. 12, pp. 397-414 (1998). X. Diao, T. Roe and E. Yeldan, “A Simple Dynamic Applied General Equilibrium Model of a Small Open Economy: Transitional Dynamics and Trade Policy,” Journal of Economic Development, vol. 23, pp. 77-101 (1998). X. Diao, T. Roe and E. Yeldan, “Trade Liberalization and Fiscal Debt Management in A Dynamic CGE Model for Turkey,” The Canadian Journal of Development Studies, vol. 19, pp. 139-171 (1998). X.Diao, T. Roe and E. Yeldan, “Fiscal Dept Management, Accumulation and Transitional Dynamics in a CGE Model for Turkey,” Revue Canadienne d'Etudes du Developpement, vol. 19, pp. 343-375 (1998). E. Yeldan, “Financial Liberalization and Fiscal Repression in Turkey: Policy Analysis in a CGE Model with Financial Markets,” Journal of Policy Modeling, vol. 19, pp. 79-117 (1997). J. Mercenier and E. Yeldan, “On Turkey’s Trade Policy: Is a Customs Union with Europe Enough?” European Economic Review, vol. 41, pp. 871-880 (1997). K. Boratav, O. Türel and E. Yeldan, “Dilemmas of Structural Adjustment and Environmental Policies under Instability: Post-1980 Turkey,” World Development, vol. 24, pp. 373-393 (1996). E. Çakmak, E. Yeldan and O. Zaim, “The Rural Economy under Structural Adjustment and Financial Liberalization: Results of a Macro-Integrated Agricultural Sector Model for Turkey,” Canadian Journal of Development Studies, vol. 17, no. 3, pp. 427-447 (1996). E. Yeldan, “Surplus Creation and Extraction Under Structural Adjustment: Turkey, 1980-1992,” Review of Radical Political Economics, vol. 27, pp. 38-72 (1995). E. Çakmak and E. Yeldan, “Turkish Agriculture Under Structural Adjustment: A General Equilibrium Analysis,” Cahiers d'Economie et Sociologie Rurales, vol. 33, pp. 34-53 (1994). J. Strauss and T. Yiğit, “Shortfalls of Panel Unit Root Testing”, Economics Letters, (Forthcoming). A. Kutan and T. Yiğit, “Nominal and Real Stochastic Convergence of Transition Economies” Journal of Comparative Economics, (Forthcoming). J. 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