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Kent Academic Repository

Items where Author, Editor or other role is "Yildiz, Yilmaz"

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Number of items: 19.

A

Atici, K.B., Yasayacak, G., Yildiz, Y., Ulucan, A. (2021) Green University and academic performance: An empirical study on UI GreenMetric and World University Rankings. Journal of Cleaner Production, 291 . Article Number 125289. ISSN 0959-6526. (doi:10.1016/j.jclepro.2020.125289) (KAR id:100052)
Format: PDF

Akca, Tuuba and Karan, Mehmet Baha and Yildiz, Y. (2021) The Effect of Financial Leverage on Investment Decisions: The Evidence from Emerging Markets. In: Dinçer, Hasan and Yüksel, Serhat, eds. Financial Strategies in Competitive Markets: Multidimensional Approaches to Financial Policies for Local Companies. Contributions to Finance and Accounting . Springer, Cham, Switzerland, pp. 137-150. ISBN 978-3-030-68611-6. E-ISBN 978-3-030-68612-3. (doi:10.1007/978-3-030-68612-3_10) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:100065)

B

Batuman, B., Yildiz, Y., Karan, M.B. (2022) The impact of the global financial crisis on corporate cash holdings: Evidence from Eastern European countries. Borsa Istanbul Review, 22 (4). pp. 678-687. ISSN 2214-8450. (doi:10.1016/j.bir.2021.10.002) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:100047)

Bilgin, Y. and Camgoz, S.M. and Karan, M.B. and Yildiz, Y. (2020) Understanding the investment behavior of individual investors: An empirical study on forex markets. In: Dinçer, Hasan and Yüksel, Serhat, eds. Handbook of Research on Decision-Making Techniques in Financial Marketing. Advances in Marketing, Customer Relationship Management, and E-Services (AMCRMES) . IGI Global, Hersey, PA, USA, pp. 228-246. ISBN 978-1-7998-2559-3. E-ISBN 978-1-7998-2560-9. (doi:10.4018/978-1-7998-2559-3.ch011) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:100057)

Buyukkara, G., Baha Karan, M., Temiz, H., Yildiz, Y. (2019) Exchange Rate Risk and Corporate Hedging: Evidence from Turkey. Emerging Markets Finance and Trade, 55 (8). pp. 1737-1753. ISSN 1540-496X. (doi:10.1080/1540496X.2018.1490262) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:100059)

K

Kara, Alper, Nanteza, Aziidah, Ozkan, Aydin, Yildiz, Y. (2022) Board gender diversity and responsible banking during the COVID-19 pandemic. Journal of Corporate Finance, 74 . Article Number 102213. ISSN 0929-1199. (doi:10.1016/j.jcorpfin.2022.102213) (KAR id:97275)
Format: PDF Format: PDF

Khalil, M., Ozkan, A., Yildiz, Y. (2020) Foreign institutional ownership and demand for accounting conservatism: evidence from an emerging market. Review of Quantitative Finance and Accounting, 55 . pp. 1-27. ISSN 0924-865X. (doi:10.1007/s11156-019-00834-3) (KAR id:97226)
Format: PDF

O

Ozkan, Aydin, Temiz, Huseyin, Yildiz, Y. (2023) Climate risk, corporate social responsibility and firm performance. British Journal of Management, 34 (4). pp. 1791-1810. ISSN 1467-8551. (KAR id:97270)
Format: PDF Format: PDF

Ozkan, A., Ozkan, G., Yalaman, A., Yildiz, Y. (2021) Climate risk, culture and the Covid-19 mortality: A cross-country analysis. World Development, 141 . Article Number 105412. ISSN 0305-750X. (doi:10.1016/j.worlddev.2021.105412) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:97223)

Ozkan, A., Santillán-Salgado, R.J., Yildiz, Y., del Rocío Vega Zavala, M. (2020) What Happened to the Willingness of Companies to Invest after the Financial Crisis? Evidence from Latin American Countries. Journal of Financial Research, 43 (2). pp. 231-262. ISSN 0270 2592. (doi:10.1111/jfir.12206) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:97227)

Y

Yildiz, Y. (2021) Foreign institutional investors, information asymmetries, and asset valuation in emerging markets. Research in International Business and Finance, 56 . Article Number 101381. ISSN 0275-5319. (doi:10.1016/j.ribaf.2021.101381) (KAR id:100051)
Format: PDF

Yildiz, Y., Karan, M.B. (2020) Environmental policies, national culture, and stock price crash risk: Evidence from renewable energy firms. Business Strategy and the Environment, 29 (6). pp. 2374-2391. ISSN 0964-4733. (doi:10.1002/bse.2508) (KAR id:100053)
Format: PDF

Yildiz, Y. and Karan, M.B. (2020) Corporate cash holdings in the oil and gas industry: The role of energy directives. In: Dorsman, Andre and Arslan-Ayaydin, Özgür and Thewissen, James, eds. Regulations in the Energy Industry: Financial, Economic and Legal Implications. Springer, Cham, Switzerland, pp. 187-213. ISBN 978-3-030-32295-3. E-ISBN 978-3-030-32296-0. (doi:10.1007/978-3-030-32296-0_11) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:100056)

Yildiz, Y., Metin Camgoz, S. (2019) Brand Equity and Firm Risk: An Empirical Investigation in an Emerging Market. Emerging Markets Finance and Trade, 55 (1). pp. 218-235. ISSN 1540-496X. (doi:10.1080/1540496X.2018.1429904) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:100061)

Yildiz, Y., Karan, M.B., Ozkan, A. (2019) Is conservative reporting attractive to foreign institutional investors? Evidence from an emerging market. European Journal of Finance, 25 (12). pp. 1099-1121. ISSN 1351-847X. (doi:10.1080/1351847X.2018.1561481) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:97228)

Yildiz, Y., Karan, M.B. (2019) Momentum or market? Determinants of large stock price changes in an emerging market. Applied Economics, 51 (7). pp. 731-742. ISSN 0003-6846. (doi:10.1080/00036846.2018.1524128) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:100060)

Yildiz, Y. (2018) Adjustment to Target Capital Structure and Global Financial Crisis: Evidence from Turkey. Business and Economic Research Journal, 9 (3). pp. 543-557. ISSN 2619-9491. (doi:10.20409/berj.2018.122) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:100126)

Yildiz, Y., Karan, M.B., Bayrak Salantur, S. (2017) An Investigation on Early Voluntary Withdrawals from Individual Retirement Accounts: An Empirical Study on an Emerging Market. Geneva Papers on Risk and Insurance: Issues and Practice, 42 (4). pp. 732-756. ISSN 1018-5895. (doi:10.1057/s41288-016-0037-9) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:100063)

Yildiz, Y., Karan, M.B., Pirgaip, B. (2017) Market reaction to grouping equities in stock markets: An empirical analysis on Borsa Istanbul. Borsa Istanbul Review, 17 (4). pp. 216-227. ISSN 2214-8450. (doi:10.1016/j.bir.2017.08.001) (KAR id:100062)
Format: PDF

This list was generated on Wed May 1 20:13:07 2024 BST.