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  • Search: person:"Umutlu, Mehmet"
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Year of publication
Subject
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Capital income 29 Kapitaleinkommen 29 Welt 22 World 22 Portfolio selection 17 Portfolio-Management 17 Volatility 14 Volatilität 14 Estimation 13 Schätzung 13 CAPM 8 Emerging economies 7 Schwellenländer 7 Aktienmarkt 6 Foreign portfolio investment 6 International financial market 6 Internationaler Finanzmarkt 6 Portfolio-Investition 6 Stock market 6 Theorie 6 Theory 6 Anlageverhalten 5 Behavioural finance 5 Börsenkurs 5 Financial market regulation 5 Finanzmarktregulierung 5 Forecasting model 5 Prognoseverfahren 5 Share price 5 Aktienindex 4 Diversification 4 Diversifikation 4 Financial sector 4 Finanzsektor 4 International portfolio management 4 Stock index 4 Capital market returns 3 International investment 3 Kapitalmarktrendite 3 Return predictability 3
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Online availability
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Free 25 Undetermined 15
Type of publication
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Article 28 Book / Working Paper 23
Type of publication (narrower categories)
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Article in journal 19 Aufsatz in Zeitschrift 19 Arbeitspapier 1 Article 1 Graue Literatur 1 Non-commercial literature 1 Working Paper 1
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Language
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English 42 Undetermined 7 Turkish 2
Author
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Umutlu, Mehmet 51 Zaremba, Adam 13 Akdeniz, Levent 12 Altay-Salih, Aslihan 12 Bengitöz, Pelin 4 Gultekin, Melis 4 Shackleton, Mark B. 4 Yargı, Seher Gören 4 Bengitoz, Pelin 3 Karathanasopoulos, Andreas 3 Arisoy, Yakup Eser 2 Fu, Xi 2 Maydybura, Alina 2 Akdogu, Serpil 1 Akdogu, Serpil Kahraman 1 Akdoğu, Serpil Kahraman 1 Altay‐Salih, Aslihan 1 Gören, Seher 1 Ozkaya, Hakan 1 Özkaya, Hakan 1
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Published in...
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Journal of banking & finance 3 Applied economics 2 Finance a úvěr 2 The North American journal of economics and finance : a journal of financial economics studies 2 The world economy : the leading journal on international economic relations 2 CentER Discussion Paper Series 1 Czech Journal of Economics and Finance (Finance a uver) 1 Discussion paper / Center for Economic Research, Tilburg University 1 Finance research letters 1 Financial analysts' journal : FAJ 1 International Journal of Financial Research 1 International journal of financial research 1 International review of financial analysis 1 Istanbul Business Research (IBR) 1 Journal of Banking & Finance 1 Journal of empirical finance 1 Pacific-Basin finance journal 1 Quality & Quantity: International Journal of Methodology 1 Quantitative finance and economics 1 Research in international business and finance 1 The World Economy 1 The journal of asset management : a major new, international quarterly journal for the financial community 1 The journal of derivatives : the official publication of the International Association of Financial Engineers 1 The journal of investing : JOI 1
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Source
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ECONIS (ZBW) 42 RePEc 5 OLC EcoSci 3 EconStor 1
Showing 1 - 10 of 51
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Economic Growth and Financial Development : Evidence from Panel Cointegration Tests in Emerging Countries
Gultekin, Melis; Umutlu, Mehmet - 2023
This study analyzes the long-run relationship between economic growth (EG) and financial development (FD) in 27 emerging countries over the period 1980 to 2018 by employing the Johansen-Fisher panel cointegration method. The study also performs the vector error correction model (VECM) to...
Persistent link: https://www.econbiz.de/10014350197
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Are Return Predictors of Industrial Equity Indexes Common across Regions?
Bengitoz, Pelin; Umutlu, Mehmet - 2023
We investigate the potential cross-sectional relationship between several equity index attributes and future returns on country-industry indexes in the regions of North America, Europe, Asia-Pacific, South America, MENA, and Japan. Index attributes include the recently documented predictors in...
Persistent link: https://www.econbiz.de/10014350837
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Market Segmentation and International Diversification Across Country and Industry Portfolios
Umutlu, Mehmet; Yargı, Seher Gören; Zaremba, Adam - 2023
We conjecture that partially segmented stock indexes that are characterized by low correlation with the world market are mainly priced by local factors and should produce abnormal returns relative to a global asset-pricing model. This implies a negative relation between correlation and future...
Persistent link: https://www.econbiz.de/10014351192
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Financial Openness and Financial Development : Evidence from Emerging Countries
Umutlu, Mehmet; Gultekin, Melis; Ozkaya, Hakan - 2021
We investigate the potential relation between financial openness and financial development for 27 emerging countries for the period between 1996 and 2016. We focus on three dimensions of financial openness: capital account openness, trade openness, and stock-market openness. In this study, we...
Persistent link: https://www.econbiz.de/10013241313
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To Diversify or Not to Diversify Internationally?
Umutlu, Mehmet; Yargı, Seher Gören - 2021
Using alternative measures of return correlations, we show that neither industry nor country correlations exhibit an ever-increasing trend. Instead, correlations jump during recessions with a tendency to revert in stable periods. This keeps international diversification still important despite...
Persistent link: https://www.econbiz.de/10013226965
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Where Have the Profits Gone? Market Efficiency and the Disappearing Equity Anomalies in Country and Industry Returns
Zaremba, Adam; Umutlu, Mehmet; Maydybura, Alina - 2021
We are the first to demonstrate the decline in the cross-sectional predictability of country and industry returns in recent years. We examine 53 anomalies in country and industry indices from 64 markets for the years 1973–2018. The profitability of the strategies has significantly decreased...
Persistent link: https://www.econbiz.de/10013244614
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Return range and the cross-section of expected index returns in international stock markets
Umutlu, Mehmet; Bengitöz, Pelin - In: Quantitative finance and economics 5 (2021) 3, pp. 421-451
Persistent link: https://www.econbiz.de/10012592477
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Market segmentation and international diversification across country and industry portfolios
Umutlu, Mehmet; Yargı, Seher Gören; Zaremba, Adam - In: Research in international business and finance 65 (2023), pp. 1-21
Persistent link: https://www.econbiz.de/10014434054
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Are return predictors of industrial equity indexes common across regions?
Bengitöz, Pelin; Umutlu, Mehmet - In: The journal of asset management : a major new, … 24 (2023) 5, pp. 396-418
Persistent link: https://www.econbiz.de/10014325428
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Financial Openness and Financial Development: Evidence from Emerging Countries
Umutlu, Mehmet; Gultekin, Melis; Özkaya, Hakan - In: Istanbul Business Research (IBR) 49 (2020) 2, pp. 316-338
We investigate the potential relation between financial openness and financial development for 27 emerging countries for the period between 1996 and 2016. We focus on three dimensions of financial openness: capital account openness, trade openness, and stock-market openness. In this study, we...
Persistent link: https://www.econbiz.de/10012873449
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