Gülnur Muradoğlu
#65,440
Most Influential Person Now
Turkish academic
Gülnur Muradoğlu's AcademicInfluence.com Rankings
Download Badge
Economics
Gülnur Muradoğlu's Degrees
- Bachelors Economics Middle East Technical University
Similar Degrees You Can Earn
Why Is Gülnur Muradoğlu Influential?
(Suggest an Edit or Addition)According to Wikipedia, Gülnur Muradoğlu , is a Turkish, naturalised British professor of behavioural finance at Queen Mary University of London. Previously, director of Ph.D. programmes at Cass Business School . Muradoğlu has also worked for Manchester School of Accounting and Finance as the Director of the MSc. Finance Program and for Bilkent University as assistant and associate professor respectively. She has been at the Wharton School of the University of Pennsylvania as a Fulbrighter and Warwick Business School as a visiting fellow.
Gülnur Muradoğlu's Published Works
Published Works
- Behavioral Finance: Quo Vadis? (2015) (144)
- Efficiency of the Turkish Stock Exchange with respect to monetary variables: A cointegration analysis (1996) (72)
- The impact of Covid-19 on G7 stock markets volatility: Evidence from a ST-HAR model (2020) (70)
- Determinants of Time Varying Co-Movements Among International Stock Markets During Crisis and Non-Crisis Periods (2016) (59)
- Capital structure and abnormal returns (2012) (57)
- What can behavioural finance teach us about finance (2010) (46)
- An exploratory analysis of portfolio managers' probabilistic forecasts of stock prices (1994) (37)
- Financial Crisis and Changes in Determinants of Risk and Return: An Empirical Investigation of an Emerging Market (ISE) (1999) (29)
- Optimism and Portfolio Choice (2010) (25)
- A Behavioural Analysis of Investor Diversification (2012) (20)
- Foreign Debt Usage in Non‐Financial Firms: A Horse Race between Operating and Accounting Exposure Hedging (2015) (18)
- Using firm-level leverage as an investment strategy (2012) (18)
- The Leverage Effect on Stock Returns (2010) (17)
- Dissemination of Stock Recommendations and Small Investors: Who Benefits? (2015) (17)
- An Empirical Analysis of Capital Structure and Abnormal Returns (2009) (16)
- Real and Financial Sector Returns, the IMF, and the Asian Crisis (2009) (15)
- European Integration and Corporate Financing (2013) (15)
- Using Firm Level Leverage as an Investment Strategy (2009) (14)
- Predictability of UK Stock Returns by Using Debt Ratios (2001) (14)
- Do international institutions affect financial markets?: evidence from the Greek Sovereign Debt Crisis (2017) (14)
- An Analysis of the “Day of the Week Effect” on the Istanbul Stock Exchange (1997) (12)
- The banking and financial crisis in the UK: what is real and what is behavioural? (2010) (12)
- Financial Distress Resolution in China - Two Case Studies (2007) (11)
- Portfolio Managers and Novices' Forecasts of Risk and Return: Are There Predictable Forecast Errors? (2001) (11)
- Home bias persistence in foreign direct investments (2016) (10)
- A Behavioural Approach to Efficient Portfolio Formation (2005) (9)
- Estimating analyst's forecast accuracy using behavioural measures (Herding) in the United Kingdom (2010) (9)
- Using Leverage as a Risk Factor in Explaining the Cross Section of Stock Returns (2010) (8)
- Capital structure and returns (2011) (8)
- Leverage,Stock Returns,Taxes and Industry Concentration (2009) (8)
- The Impact of SEC Litigation on Firm Value (2008) (7)
- Using Firm-Level Leverage as an Investment Strategy: Using Firm-Level Leverage as an Investment Strategy (2012) (7)
- The UK Crisis of 2008: What is Real and What is Behavioural? (2009) (6)
- How Does a Firm's Capital Structure Affect Stock Performance? (2013) (5)
- Would You Follow MM or a Profitable Trading Strategy? (2010) (5)
- Forecasting Stock Prices by Using Alternative Time Series Models (2000) (5)
- The effect of leverage mimicking portfolios in explaining stock returns variations (2013) (5)
- The Characteristics of Corporate Distress in an Emerging Market: The Case of China (2005) (4)
- Do Extreme Falls Help Forecasting Stock Returns? International Evidence (2001) (4)
- Stock Market Returns and Shipping Freight Market Information: Yet Another Puzzle! (2011) (4)
- The Distinctive Role of Foreign Debt in Foreign Exchange Risk Management (2011) (4)
- The Impact of Leverage on Stock Returns in the Hospitality Sector: Evidence from the UK (2014) (4)
- Personal routes into behavioural finance (2020) (3)
- The Impact of the Russian-Ukrainian War on Global Financial Markets (2023) (3)
- Market Behaviour of Foreign Versus Domestic Investors Following a Period of Stressful Circumstances (2007) (3)
- Worldwide impact of IMF policies during the Asian crisis: who does the IMF help, creditors or crisis countries? (2016) (3)
- Restructuring Strategies of Chinese Firms in Distress: Are They Value Enhancing? (2006) (2)
- 'Near-Home Bias' in Foreign Direct Investments (2010) (2)
- Capital Structures around the world: Are small firms different? (2010) (2)
- Ownership Concentration, IFRS Adoption and Earnings Quality: Evidence from an Emerging Market (2013) (2)
- Enhancing momentum investment strategy using leverage (2018) (2)
- Measuring the Systematic Risk of Ipo's Using Empirical Bayes Estimates in the Thinly Traded Istanbul Stock Exchange (2003) (2)
- Momentum in Credit Rated Stocks: Is Momentum Investors' Reaction to Uncertainty Across Business Cycle? (2008) (1)
- Can Common Components Eliminate Momentum Returns? (2008) (1)
- Is It Better to Be Optimistic? -- Financial Optimism and Well-Being (2013) (1)
- Spillovers from one country’s sovereign debt to CDS (credit default swap) spreads of others during the European crisis: a spatial approach (2022) (1)
- Impact of credit risk and business cycles on momentum returns (2018) (1)
- Decomposition of Momentum Return: Which Component Contributes Most? (2008) (1)
- Capital Structures in developing countries around the world: Are small firms different? (2021) (0)
- Capital Structures Around the World: Are Small and Private Firms Different? (2010) (0)
- Board Diversity and Executive Compensation (2022) (0)
- CEO ’ s compensation and risk taking in UK firms (2019) (0)
- Momentum, Credit Risk and Business Cycles (2010) (0)
- How COVID-19 Affected the G7 Stock Markets: Early Evidence from a ST-HAR Model (2020) (0)
- Domestic Versus International Integration in the Process of Financial Liberalisation (2001) (0)
- Capital Structures of Small Family Firms in Developing Countries (2022) (0)
- Financial and real sector returns, IMF-related news, and the Asian crisis (2016) (0)
- Capital Structures Around the World: Are Small and Private Firms Different? (2010) (0)
- Behavioural perspectives on the crisis (2010) (0)
- Feedback, Framing, Personality and Risk Attitude -- Experiments on Factors Affecting Financial Optimism (2013) (0)
This paper list is powered by the following services:
Other Resources About Gülnur Muradoğlu
What Schools Are Affiliated With Gülnur Muradoğlu?
Gülnur Muradoğlu is affiliated with the following schools: