SEMINERLER – KONFERANS SUNUMLARI

2018

Öztürkkal, A.B, Togan Egrican, A. (2018) Art as an Investment – Financial Crises and the Art Market, Istanbul Finance Congress, November 1, 2018, Istanbul, Turkey

Togan Egrican, A. (2018) Institutional Investment Horizon and Hedge Fund Activism, Financial Management Association European Conference, June 13-15, 2018, Kristiansand, Norway

Togan Egrican, A. (2018) Professional Connections with Banker Directors and Corporate Loan Terms, Virtus Global Center for Corporate Governance Conference, October 11, 2018, Izmir, Turkey

2017

Davutyan, N. with Ayça Akarçay and Sezgin Polat (2017) Some Agricultural Output Consequences of Demographic Engineering: Anatolia 1909:1927, 7'th Annual All Istanbul Economics Workshop 13 May 2017.

Gebizlioglu, O.L., Kara, E.K. “A comparative study on copulas by the distribution quantile based bivariate risk measures”, 3rd International Conference on Advances in Statistics, 28-30 April 2017, Helsinki, Finland

2016

Davutyan, N. with Ayça Akarçay and Sezgin Polat (2016) Some Agricultural Output Consequences of Demographic Engineering: Anatolia 1909:1927, 41'st Annual Meeting of SSHA at Chicago 17-20 November 2016.

Gebizlioglu, O.L. “Extra-ordinary contributions to actuarial science”, Book of 75th Year of Actuarial Studies at K. University of Leuven, 27-28 September 2016, Leuven, Belgium

2015

Davutyan, N., Öztürkkal A.B., ‘Determinants of  Saving-Borrowing Decisions and Financial Inclusion in a High Middle Income Country: the Turkish Case’

All-Istanbul Workshop, Boğaziçi University (2015)

Seoul SSEM conference, January 2015, Seoul, South Korea

Öztürkkal, A.B. , Tanyeri, B., Tirtiroglu, D., “Turkish IPOs: New Share Issues and Sales by Existing Shareholders”, Borsa Istanbul Finance and Economics Conference, BIFEC 2015, October 1-2, 2015.

2014

Gebizlioglu, O.L.  “Concomitants of generalized order statistics from a bivariate pseudo-Gompertz distribution and risk analysis”, Proceedings og International Workshop on Applied Probability-2014, 16-19 June 2014, Antalya Turkey

Gebizlioglu, O.L.  “A risk measure perspective for the management of market risks in insurance”, Proceedings of Risk Management in Insurance 2014, 16-19 July 2014, Barcelona, Spain

Davutyan, N., Öztürkkal, A.B. “Determinants of Saving-Borrowing Decisions and Financial Inclusion in a High Middle Income Country: The Turkish Case”

AARCF14 (MODAV) Sabancı University, Istanbul, October 31, 2014.

14th EBES Conference, Barselona, October 23-25, 2014.

Öztürkkal, A.B., Akkemik, A., “Risk Choices of Portfolio Managers in an Emerging Market Economy”, Behavioral Finance Workshop, January 27, 2014.

2013

Gebizlioglu, O.L., Öztürkkal, A.B. “A mortgage loan default analysis and default risk modeling approach”, Proceedings of International Istanbul Finance Congress, 30-31 May 2013, Istanbul.

Öztürkkal, A.B., Akkemik, A., “Risk Choices of Portfolio Managers in an Emerging Market Economy”,

7th International Conference on Computational and Financial Econometrics (CFE 2013), 14-16 December 2013.

Borsa Istanbul Finance and Economics Conference, BIFEC 2013, September 30–October 1, 2013.

International Istanbul Finance Congress, IIFC 2013, May 30-31, 2013.

Gebizlioglu, O.L . Öztürkkal, A.B.  “An analysis and risk modeling on the mortgage loan defaults”

Behavioural Finance Working Group Conference, 16-17 December 2013.

International Istanbul Finance Congress, IIFC 2013, May 30-31, 2013.

2012

Gebizlioglu, O.L . Öztürkkal, A.B. “An analysis and risk modeling on the mortgage loan defaults”, International Conference on Applied and Computational Mathematics (ICACM), October 2012.

Öztürkkal, A.B. , Tanyeri, B., Tirtiroglu, D., “Turkish IPOs: New Share Issues and Sales by Existing Shareholders”, Eurasia Business and Economics Society Conference, EBES 2012, May 24, 2012.

Öztürkkal, A.B.  “The Relationship between Firm Size and Export Sales: Sector or Size, What Matters?”, Presented-SOBIAD Istanbul International Conference on Business and Economics, August 2012.

2011

Kızılok,E., Gebizlioglu,O.L. “Risk Measurement by the Bivariate North-South Quantile Method Under the FGM Copula Models for Dependence”, 15th International Congress on Insurance Mathematics and Economics, Trieste, Italy

Öztürkkal, A.B. , Ernan H. “Profit Sharing and Incentives between Management and Investors”. International Conference on Economics and Finance, ICEF 2011, May 2011.

2009

Senoğlu,B., Gebizlioğlu,Ö.L. “Comparison of Some Value-at-Risk Estimation Methods for Two Parameter Weibull Loss Distribution”, 13th International Congress on Insurance: Mathematics and Economics, İstanbul

Kızılok,E., Gebizlioğlu, Ö.L. “FGM Copula Models for Bivariate Risks”, 13th International Congress on Insurance Mathematics and Economics, İstanbul

Oncel,S.Y., Aliev, F., Gebizlioglu,O.L. “Fagerstrom test for nicotine dependence (FTND) and smoking behavior among Turkish college students”, Behavior Genetics, V.39, 673-673

Öztürkkal, A.B. , Ernan H. “Profit Sharing and Incentives between Management and Investors”

Sam Houston State University Business Conference, Houston, 2009.

Seminar at University of Texas at Dallas, 2009.

Öztürkkal, A.B. , “Investor Behavior Analysis: A Survey Analysis”,

SOBIAD Istanbul International Conference on Business and Economics, August 2012.

International Conference on Economics and Finance, ICEF 2011, May 2011.

Muradoğlu, G., Fuertes, A. M., Öztürkkal, A.B “Portfolio Compositions of Individual Investors”

Behavioral Finance Working Group Conference, Cass Business School, London, June 2012.

2011 Annual Meeting of Academy of Behavioral Finance and Economics (Conference at UCLA, USA September 2011).

Finance Seminar-Bilkent University, Ankara, May 2011.

4th CSDA International Conference on Computational and Financial Econometrics, CFE-ERCIM 2010, London,December 2010.

Öztürkkal, A.B., Orhan, E, “A Tournament Analysis of Mutual Funds in Turkey”,

Eurasia Business and Economics Society Conference, EBES 2011, June 1, 2011.

International Conference on Economics and Finance, ICEF 2011, May 2011.