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Coskun Kucukozmen
Coskun Kucukozmen
Professor of Banking, Trade & Finance, Izmir University of Economics
Verified email at ieu.edu.tr - Homepage
Title
Cited by
Cited by
Year
The impact of crude oil prices on financial market indicators: copula approach
DE Kayalar, CC Küçüközmen, AS Selcuk-Kestel
Energy Economics 61, 162-173, 2017
1472017
The empirical distribution of UK and US stock returns
RDF Harris, CC Küçüközmen
Journal of Business Finance & Accounting 28 (5‐6), 715-740, 2001
752001
Skewness in the conditional distribution of daily equity returns
RDF Harris, C Coskun Küçüközmen, F Yilmaz
Applied Financial Economics 14 (3), 195-202, 2004
512004
The empirical distribution of stock returns: evidence from an emerging European market
RDF Harris, C Coskun Küçüközmen
Applied Economics Letters 8 (6), 367-371, 2001
342001
A macroeconometric model for stress testing credit portfolio
C Küçüközmen, A Yüksel
13th Annual Conference of the Multinational Finance Society, 2006
262006
Economics Department Discussion Papers Series
C Guermat, K Hadri, CC Kucukozmen
262003
Linear and nonlinear dependence in Turkish equity returns and its consequences for financial risk management
RDF Harris, CC Küçüközmen
European Journal of Operational Research 134 (3), 481-492, 2001
242001
Analyzing the dual long memory in stock market returns
U Mert, CC Küçüközmen
Ege Academic Review 11 (5), 19-28, 2011
212011
Bankacılıkta risk Yönetimi ve Sermaye Yeterliliği value at risk Uygulamaları
C Küçüközmen
Iktisat Isletme ve Finans 14 (156), 71-87, 1999
201999
Optimal hedge ratios and hedging effectiveness: An analysis of the Turkish futures market
G Buyukkara, CC Kucukozmen, ET Uysal
Borsa Istanbul Review 22 (1), 92-102, 2022
192022
BASEL II’ye Geçiş Sürecinde KOBİ'lerin Finansman Sorunları: Konya İli Örneği
CC Küçüközmen, D Oğuz
BASEL II'ye geçiş Sürecinde Kobilerde Genel Durum Değerlendirmesi: Sorunlar …, 2008
132008
Tourism demand for Turkey: Models, analysis and results
T Aktürk, CC KÜÇÜKÖZMEN
Middle East Technical University, Institute of Applied Mathematics: Ankara, 2006
132006
Forecasting value at risk in emerging Arab stock markets
C Guermat, K Hadri, CC Kucukozmen
University of Exeter, 2003
92003
Banka İktisadı ve İşletmeciliği
NO Altay, C KÜÇÜKÖZMEN, U Mert
Ankara: Detay Yayıncılık, 2014
82014
Serbest Yatırım Fonları (Hedge Funds)
CC Küçüközmen
Uluslararası Ekonomik Sorunlar (International Economic Issues) 27 (7), 35-42, 2007
82007
Yeni Türk Ticaret Kanunu ve Risk Yönetimi
CC Küçüközmen
İzmir Ekonomi Üniversitesi 23, 2012, 2012
72012
Bankalarda Operasyonel Riskin Ölçümü: Uç Değer Teorisi Uygulaması
CC Küçüközmen, M Mazıbaş
9th Symposium on Econometrics and Statistics, 2008
62008
Mevduat Sigortası
C Küçüközmen
İktisat İşletme ve Finans 11 (122), 44-53, 1996
61996
Which One Is A Better Indicator and Hedge Against Inflation, Oil Or Gold
CC Kucukozmen, HD Oguz, I Yanik
Evidence From An Emerging Market, 2008
52008
Basel-II, Blok3: Bilgilendirme Yoluyla Şeffaflığın Artırılması ve Piyasa Disiplininin Sağlanması
C Küçüközmen
Ankara, http://www. finanskulup. org. tr/html/makale/coskun_kucukozmen_2 …, 2006
52006
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