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Mehmet Orhan
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引用次数
引用次数
年份
Econometric applications of high-breakdown robust regression techniques
A Zaman, PJ Rousseeuw, M Orhan
Economics Letters 71 (1), 1-8, 2001
1982001
A comparison of GARCH models for VaR estimation
M Orhan, B Köksal
Expert Systems with Applications 39 (3), 3582-3592, 2012
1102012
Inflation and inflation uncertainty in Turkey
S Keskek, M Orhan
Applied Economics 42 (10), 1281-1291, 2010
432010
How do foreign direct investment and growth interact in Turkey?
E ILGUN, K Karl-Josef, M ORHAN
Eurasian Journal of Business and Economics 3 (6), 41-55, 2010
352010
Market risk of developed and emerging countries during the global financial crisis
B Köksal, M Orhan
Emerging Markets Finance and Trade 49 (3), 20-34, 2013
272013
Economies of the Black Sea Economic Cooperation (BSEC) countries and their bilateral trade
M Dikkaya, M Orhan
Journal of Economic and Social Research 6 (2), 63-86, 2004
222004
Short-and long-run performance of IPOs traded on the Istanbul Stock Exchange
M Orhan
Initial Public Offerings, 45-55, 2006
212006
Impact of main macroeconomic indicators on happiness
Y Agan, E Sevinc, M Orhan
European Journal of Economic and Political Studies 2 (2), 13-21, 2009
202009
Kredi Derecelendirmenin Etik Ve Sistemik Açmazlarý
M Orhan, H Saka, H Yüksel
Is Ahlakı Dergisi 8 (1), 67, 2015
92015
Gold demand by central banks: a comparative study of emerging market and advanced economies
H Öztunç, M Orhan
Emerging Markets Finance and Trade 57 (9), 2687-2698, 2021
82021
Tax revenue and main macroeconomic indicators in Turkey
H Yuksel, M Orhan, H Oztunc
European Journal of Economic and Political Studies 6 (1), 135-150, 2013
72013
Are Sovereign Ratings by CRAs Consistent?
H Saka, M Orhan
Panoeconomicus 65 (1), 95-115, 2018
62018
Heteroskedasticity-consistent covariance matrix estimators in small samples with high leverage points
E Şimşek, M Orhan
Theoretical Economics Letters 6 (4), 658-677, 2016
62016
The Spillover Effects of Fed’ s Policies with Emphasis to the Fragile Five
M Orhan
Journal of Economics and Behavioral Studies 6 (12), 1011-1020, 2014
62014
Performance of VaR in Assessing Risk: Evidence from the Istanbul Stock Exchange.
M Orhan, A Akin
Journal of Economic & Social Research 13 (1), 2011
62011
Impact of main indicators macroeconomic on happiness
Y Agan, E Sevinc, M Orhan
European Journal of Economic and Political Studies 2 (2), 13-21, 2016
52016
Market risk of developed and developing countries during the global financial crisis
B Köksal, M Orhan
52012
Empirics of technology and unemployment in advanced countries.
H Saka, M Orhan, MK Ökte
Theoretical & Applied Economics 28 (1), 2021
42021
Towards a more objective credit rating
M Orhan, R Alpay
Iktisat Isletme ve Finans 27 (317), 115-136, 2012
42012
Reinforcement Learning and Dynamic Optimization.
E Başçi, M Orban
Journal of Economic & Social Research 2 (1), 2000
42000
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