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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
1542017
The empirical distribution of UK and US stock returns
RDF Harris, CC Küçüközmen
Journal of Business Finance & Accounting 28 (5‐6), 715-740, 2001
762001
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
352001
Economics Department Discussion Papers Series
C Guermat, K Hadri, CC Kucukozmen
302003
A macroeconometric model for stress testing credit portfolio
C Küçüközmen, A Yüksel
13th Annual Conference of the Multinational Finance Society, 29, 2006
272006
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
262001
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
222022
Bankacılıkta risk Yönetimi ve Sermaye Yeterliliği value at risk Uygulamaları
C Küçüközmen
Iktisat Isletme ve Finans 14 (156), 71-87, 1999
221999
Analyzing the dual long memory in stock market returns
U Mert, CC Küçüközmen
Ege Academic Review 11 (5), 19-28, 2011
212011
Tourism demand for Turkey: Models, analysis and results
T Aktürk, CC KÜÇÜKÖZMEN
Middle East Technical University, Institute of Applied Mathematics: Ankara, 2006
182006
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
142008
Banka İktisadı ve İşletmeciliği
NO Altay, C KÜÇÜKÖZMEN, U Mert
Ankara: Detay Yayıncılık, 2014
102014
Forecasting value at risk in emerging Arab stock markets
C Guermat, K Hadri, CC Kucukozmen
University of Exeter, 2003
92003
Yeni Türk Ticaret Kanunu ve Risk Yönetimi
CC Küçüközmen
İzmir Ekonomi Üniversitesi 23, 2012, 2012
72012
Serbest Yatırım Fonları (Hedge Funds)
CC Küçüközmen
Uluslararası Ekonomik Sorunlar (International Economic Issues) 27 (7), 35-42, 2007
72007
Mevduat Sigortası
C Küçüközmen
İktisat İşletme ve Finans 11 (122), 44-53, 1996
71996
Bankacılığın El Kitabı
NO Altay, CC Küçüközmen, M Ural, E DEMİRELİ
Akademi Consulting & Training, Ankara, 2016
62016
Sistemik risk, finansal istikrar ve volatilite
CC KÜÇÜKÖZMEN
Ekonomik Çözüm Dergisi 9, 2012
62012
Stress testing of energy-related derivative instruments based on conditional market risk models
NS Aydın, CC Küçüközmen
Energy, Market and Regulation 1 (2), 121-144, 2010
62010
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