Details about Bora Aktan
Access statistics for papers by Bora Aktan.
Last updated 2024-07-06. Update your information in the RePEc Author Service.
Short-id: pak119
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Working Papers
2020
- What Ward's Clustering Method Tells about the Four Largest Emerging Equity Markets?
Post-Print, HAL
See also Journal Article What Ward's clustering method tells about the four largest emerging equity markets?, International Journal of Entrepreneurship and Small Business, Inderscience Enterprises Ltd (2020) (2020)
Journal Articles
2023
- Do the macro and global economic factors drive the nonperforming loans in GCC economies?
Journal of Financial Economic Policy, 2023, 15, (3), 190-207
2022
- Emerging equity market reaction to pandemic prevention policy: Evidence from regression discontinuity design
Zbornik radova Ekonomskog fakulteta u Rijeci/Proceedings of Rijeka Faculty of Economics, 2022, 40, (2), 421-439
- Firm dynamics and bankruptcy processes: A new theoretical model
Journal of Forecasting, 2022, 41, (3), 567-591
2021
- The impact of soft information and institutional quality on foreign bank efficiency – Evidence from ASEAN-5 countries
International Review of Economics & Finance, 2021, 74, (C), 23-32
2020
- The interdependence between stock market development and economic growth: a multi-country examination
Zbornik radova Ekonomskog fakulteta u Rijeci/Proceedings of Rijeka Faculty of Economics, 2020, 38, (2), 619-652
- What Ward's clustering method tells about the four largest emerging equity markets?
International Journal of Entrepreneurship and Small Business, 2020, 39, (1/2), 64-70
See also Working Paper What Ward's Clustering Method Tells about the Four Largest Emerging Equity Markets?, Post-Print (2020) (2020)
2019
- Factors affecting development patterns: econometric investigation of the Japan equity market
Economic Research-Ekonomska Istraživanja, 2019, 32, (1), 440-453
2017
- The impact of regime-switching behaviour of price volatility on efficiency of the US sovereign debt market
Economic Research-Ekonomska Istraživanja, 2017, 30, (1), 1865-1881 View citations (1)
2014
- Efficiency and risk in commercial banking: empirical evidence from East Asian countries
The European Journal of Finance, 2014, 20, (12), 1114-1132 View citations (6)
- Sustainable risk management: fuzzy approach to volatility and application on FTSE 100 index
Entrepreneurship and Sustainability Issues, 2014, 2, (1), 30-36 View citations (1)
2013
- Off-Balance Sheet Activities Impact on Commercial Banks Performance: An Emerging Market Perspective
Economic Research-Ekonomska Istraživanja, 2013, 26, (3), 117-132
2012
- Efficiency of Islamic banks: case of North African Arab countries
Qualitative Research in Financial Markets, 2012, 4, (2/3), 228-239 View citations (5)
2011
- Decay factor optimisation in time weighted simulation -- Evaluating VaR performance
International Journal of Forecasting, 2011, 27, (4), 1147-1159 View citations (5)
2010
- A Comparative Analysis of Individual and Ensemble Credit Scoring Techniques in Evaluating Credit Card Loan Applications
Journal of BRSA Banking and Financial Markets, 2010, 4, (1), 74-90
2009
- A comparison of data mining techniques for credit scoring in banking: A managerial perspective
Journal of Business Economics and Management, 2009, 10, (3), 233-240 View citations (9)
- Development and future prospects of Islamic banking in Bangladesh
International Journal of Monetary Economics and Finance, 2009, 2, (3/4), 336-347
- Empirical examination of REITs in Turkey: an emerging market perspective
Journal of Property Investment & Finance, 2009, 27, (4), 373-403 View citations (1)
- Global financial crisis and VaR performance in emerging markets: A case of EU candidate states - Turkey and Croatia
Zbornik radova Ekonomskog fakulteta u Rijeci/Proceedings of Rijeka Faculty of Economics, 2009, 27, (1), 149-170 View citations (16)
- Islamic banking: a study of customer satisfaction and preferences in non-Islamic countries
International Journal of Monetary Economics and Finance, 2009, 2, (3/4), 261-285 View citations (4)
- The investment decision‐making process from a risk manager's perspective: a survey
Qualitative Research in Financial Markets, 2009, 1, (2), 106-120
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