Theory and Practise Finance
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Theory and Practise Finance

Theory and Practise Finance


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About the Book

This book is a comprehensive collection of empirical and theoretical research papers focused on the field of “Theory and Practice in Finance,” authored by researchers from a diverse range of academic institutions. The studies included in this volume cover a broad spectrum of topics, providing in-depth insights into various issues within financial theory and its real-world applications. These include advanced financial models, market behavior, investment strategies, corporate finance, risk management, behavioral finance, and the impact of macroeconomic factors on financial systems. The empirical research explores actual data and case studies, offering practical solutions to contemporary financial challenges, while the theoretical research provides robust frameworks and models that deepen our understanding of financial principles and dynamics.

Table of Contents:
1. Ayyüce Memiş Karataş: Analysis of Borsa Istanbul Sustainability Indices under the Efficient Market Hypothesis: Examination of Weak-Form Efficiency - 2. Dilber Doğan & Senol Doğan: Econometric Analysis of the Relationship between Geopolitical Risk, Economic Growth, and BIST SINAI Index in Türkiye - 3. Ayşegül Ertuğrul: Analysis of the Relationship between the VIX Fear Index and Selected Stock Market Indices - 4. Ali Kestane & Nurgül Çelik: Audit Quality Indicators in BIST 30 Index: Research on PCAOB Compliance - 5. Özge Demirkale & Mehmet Ali Balta: Examining the Relationship between the European Renewable Energy Index and Technology and Mining Stocks Using the ARDL Method: The Case of Turkey and the United Kingdom - 6. İrfan Sektioğlu: A Qualitative Approach to Framing Bias in Financial Markets - 7. Sefer Uçak & A.Gamze Aytekin: The Relationship between Oil Price and Baltic Dry Index - 8. Abdullah Kılıçarslan: An Analysis on Returns on Investment in Asset Classes - 9. Melek Aksu: Is Green Asset Ratio (GAR) a Good Comparable Metric for Banks’ Sustainability Performance? - 10. Seren Aydıngülü Sakalsız & Ecem Arık: Investigating the Volatility Spread and Half-Life Measure between Bitcoin, Gold and Brent Oil - 11. Gönül Gül: Transformation of Financial Management in Organizations: Initial Coin Offering (ICO) - 12. Süreyya Yılmaz Özekenci: Understanding Value at Risk and Estimation Methods - 13. İbrahim Bozacı & Selin Dinçer: A Conceptual Investigation on the Relationships among Bequest Motives, Individual Financial Management Behaviors and Voluntary Simplicity - 14. Bekir Zengin & Mehmet Sinan Çelik: From Financial Failure to Stability: Investigation of Failing American Banks and Policies for Financial Success - 15. Mustafa Özyeşil & Havane Tembelo: Innovative Financial Services in the Metaverse: Regulatory and Security Challenges - 16. Selçuk Yalçın: Big Data And Finance - 17. Eda Ayvacık: Money and Cryptocurrencies - 18. Bayram Erkin Ay & Turan Kocabıyık: Ways for Cryptocurrency Investors to Make a Profit - 19. Bora Topal: Evaluating the Importance of Digital Assets in the Future of Finance - 20. Mustafa Özyeşil & Havane Tembelo: Metaverse in the Financial World: The Future of the Digital Economy and the Role of Blockchain Technology - 21. Yunus Emre Akdoğan:Rationality in Behavior-Action Dichotomy: Theoretical Foundations of Intention Prediction in Financial Decisions - 22. Elif Hilal Nazlıoğlu: The Importance of Oil Shocks in Energy-Financial Market Linkages - 23. Fatih Akın & Ömer Akçayır: The Relationship between Financial Development and Environmental Quality in BRICS–T Countries - 24. Yunus Kaya: Green Finance within the Scope of Sustainability - 25. Cemil Süslü: An Application on the Relationship between Carbondioxide Emissions, Population, and Economic Growth for Türkiye Using the ARDL Bound Test Method - 26. Suna Akten Çürük: A Brief Introduction to Islamic Finance - 27. Fatih Akbaş: The Development of The Turkish Banking Sector (1923-2023) - 28. Kemal Coşkun: The Concept of Interest and Its Historical Adventure - 29. Ahmet Akusta: Exchange Rate Mechanisms: Theory and Practice - 30. Mukadder Horasan: Modern Portfolio Theory and an Application on the Markowitz Model - 31. M. Altan Masun: Foreign Direct Investment and an Evaluation for the Periods. (2009 – 2021) - 32. Muhammed Enes Olgun: Understanding the International Impact of COVID-19 Uncertainty on Tourism Firms

About the Author :
Niyazi Kurnaz works at Kütahya Dumlupınar University as a Professor. He currently teaches Financial Statements Analysis, Accounting and Audit. Kaan Evren Bolgün works at Beykoz University as a Professor. He currently teaches Behavioral Finance, International Finance and Micro Economics


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Product Details
  • ISBN-13: 9783631927564
  • Publisher: Peter Lang AG
  • Publisher Imprint: Peter Lang AG
  • Edition: New edition
  • Language: English
  • Returnable: N
  • Width: 148 mm
  • ISBN-10: 3631927568
  • Publisher Date: 13 Mar 2025
  • Binding: Paperback
  • Height: 210 mm
  • No of Pages: 400
  • Weight: 530 gr


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