Research

Research focus

Academic Groups

  • Financial Economics
  • Finance
  • Accounting

Alovsat Muslumov  focuses much of his study on macroeconomic transmission mechanism, financial development, financial regulation, privatization, market efficiency, mergers, SMEs and corporate governance issues. An empiricist, he investigates applied problems using real-world data.

Selected Publications

Books

“The Financial Analysis of Mergers”

Muslumov, Alovsat (2003), Capital Market Board, Ankara.

“Turkish SME’s in 21st Century"

Muslumov, Alovsat (2002), Literature Publications, Istanbul.

“Exchange Rate Regimes and Effects on the Economy ”

Muslumov, Alovsat, Mubariz Hasanov and Cenktan Ozyıldırım (2003), Association of Turkish Young Businessmen, Istanbul.

“The Role of Institutional Investors in Stock Market Development”

Muslumov, Alovsat and Guler Aras (2003), Association of Institutional Investors, Istanbul.

Journal Articles

“Stock Markets and Economic Growth: A Casualty Test.”

Gursoy, Cudi Tuncer and Alovsat Muslumov (2000), Dogus University Journal, Vol. 2, pp. 124-132.

“Premerger Discrimination between Acquirer and Targets.”

Muslumov, Alovsat (2001), Dogus University Journal, Vol. 4, 71-90.

“The Effects of the Asian Crisis to Turkish Manufacturing Industry: The Case of Textile, Food and Cement Industries.”

Muslumov, Alovsat ve Abdulmecit Karataş (2001), Dogus University Journal, Vol 4, 91-104.

“The Financial Analysis of Postmerger Performance of Surviving Firms.”

Muslumov, Alovsat (2002), Yapi Kredi Economic Review, Vol. 13 (1).

“ Evolving Market Efficiency in Istanbul Stock Exchange.“

Muslumov, Alovsat, Guler Aras and Bora Kurtuluş (2004), in Istanbul Technical University Selected Articles, edited by C.T. Gursoy, İstanbul, 271-291.

"Does Privatization Lead To Improved Corporate Performance: The Case of Turkish Cement Industry.”

Muslumov, Alovsat (2005), METU Studies in Development, Vol. 32 (1), 59-100.

“Institutional Investors and Stock Market Development: A Causality Study.”

Muslumov, Alovsat and Guler Aras (2005), ISE Review, Vol. 29, 1-14.

“Macroeconomic Stabilization Programs and Financial Performance of Small and Medium Sized Enterprises in Turkey.”

Muslumov, Alovsat, Guler Aras and Cenktan Ozyıldırım (2005), Journal of International Business and Entrepreneurship, Vol. 11 (1), 19-40.

“Full Deposit Insurance and Moral Hazard Problem: The Case of Turkish Banking System.”

Muslumov, Alovsat (2005), Bogazici Journal - Review of Social, Economic and Administrative Studies, Vol. 19 (1-2), p. 127-152.

“The Effects of Insider Trading on the Stock Price Volatility ın an Emerging Market Setting: Evidence from Istanbul Stock Exchange.”

Muslumov, Alovsat (2008), in Corporate Governance and Corporate Social Responsibility eds. Crowther, D. and Guler Aras, 59-68.

“Full Deposit Insurance and Moral Hazard Problem: The Case of Turkish Banking System.”

Muslumov, Alovsat and Ensar Yılmaz (2008), Applied Economics, Vol. 40 (16), 1-17.

“Pairs Trading with Turkish Stocks.”

Muslumov, Alovsat. Aslı Yüksel, and Aydın Yüksel (2010), Middle Eastern Finance and Economics, Vol. 7, 38-54.

“The Profitability of Pairs Trading in an Emerging Market Setting: Evidence from the Istanbul Stock Exchange.“

Muslumov, Alovsat, Asli Yüksel, and Aydin Yüksel (2009), Empirical Economics Letters, Vol. 8 (5), 1-6.
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