PressAcademia Procedia publishes proceedings of conferences, seminars and symposiums. PressAcademia Procedia aims to provide a source for academic researchers, practitioners and policy makers in the area of social and behavioral sciences.

PressAcademia Procedia invites academic conferences for publishing their proceedings with a review of editorial board. Since PressAcademia Procedia is an open-access book, the manuscripts presented in the conferences can easily be reached by numerous researches. Hence, PressAcademia Procedia increases the value of your conference for your participants.

Title & Author(s)
Pages
Did walgreens and rite aid benefit from their 2017 deal?
Khamis M. Bilbeisi, C. R. Narayanaswamy
1-6
Investors' overreaction to political news: the case of Turkey
Ahmet Galip Gencyurek
7-9
Global peer-to-peer lending market
Neslihan Turguttopbas, Ihsan Erdem Kayral
10-15
Assessing the relationship between bank capital adequacy and profitability: the example of BIST deposit banks
Ilknur Kulekci, Aysegul Ertugrul Ayranci
16-21
Determination and accounting of carbon costs in agricultural production areas
Mehmet Tursun
22-25
Efficiency assessment of the Turkish banking sector in the pre- and during Covid-19 pandemic periods
Ibrahim Yagli
26-32
Asymmetric volatility spillover from retail trading of noise traders: evidence from the gamestop short squeeze
Semra Bank, Zehra Abdioglu
33-38
The effect of inclusion of companies in the sustainability index on the financial performances in the Covid period: a research on the automotive industry
Suzan Dagtas, Oguz Secme
39-43
Theoretical approach to tax compliance
Tulin Akdogan, Ibrahim Akdogan
44-49
A critical appraisal of public-private-partnership as a financial model and critical success factors in aviation sector in Turkey
Yuksel Akay Unvan, Muhsin Tamer Ozdemir
50-57
Examination of the valuation provisions of intangible assets within the framework of international valuation standards and Turkish financial reporting standards
Serkan Yucel
58-64
An explanatory analysis on the investment preferences of university students with respect to financial charecteristics and crypto assets
Ahmet Rutkay Ardogan, Mehmetcan Suyadal, Yavuz Gul
65-72
An overview on key digital assets of decentralized finance: cryptocurrency and NFT
Kagan Okatan
73-78
The nexus between venture capital investments and environmental innovation: evidence from OECD countries
Yusuf Guneysu, Tolga Ergun
79-84
Post-IPO cash flow operating efficiency analysis of Borsa Istanbul firms
Cengiz Onder, Ali Osman Gurbuz
85-89
Investigation of the pandemic impact of companies operating in BIST-30 with cluster analysis in the context of financial performance indicators
Ismail Kocabiyik, Ferhat Orman, Ozgur Kiyak
90-95
The dark sıde of cryptocurrency markets: an integrated bibliometric analysis
Esra Bulut
96-105
The effect of financial distress on audit quality: evidence from Borsa Istanbul
Serkan Terzi, Ilker Kiymetli Sen
106-110
An implementation model on staff employment, performance evaluation and financial results in industrial enterprises
Ilkay Erarslan, Osman Yilmazcan
111-115
ESG scores relationship with firm performance: panel data evidence from the European tourism industry
Rezart Demiraj, Suzan Dsouza, Enida Demiraj
116-120
Relationship of banking sector and environmental performance in Turkey
Gulay Cizgici Akyuz
121-126
Effect of managecial and operational gender diversity on financial performance: an investigation on Borsa Istanbul commercial banks
Asli Yikilmaz
127-133
The interaction between socially responsible investment and macroeconomic indicators in the developing countries
Merve Tuncay, Bayarmaa Dorjnaran
133-137
Examination of credit balloons during the Covid-19 pandemic process: a study on the Turkish banking sector
Levent Sezal
138-143
Decisions and influences-the premises of restrictive economic and banking policies in the current economic and social context
Mircea Mihaiela Joly, Schiop Roxana-Daliana
144-148
Determining the financial performances of BIST-100 energy companies by TOPSIS method
Feristah Sonmez, Gultekin Baysal, Ismet Anik Baysal, Mehmet Bademcioglu
149-155
Impact of financial leverage on the performance of tourism firms in the MENA region
Rezart Demiraj, Enida Demiraj, Suzan Dsouza
156-161
The export-import bank of China and Bangladesh: a comparative overview
Yuksel Akay Unvan, Moniruzzaman
162-168
The reserve option mechanizsm as an automatic stabilizer against capital flows: vector autoregressive (VAR) analysis
Halil Tunali, Duygu Kalkay
169-173
The impact of economic discontent on income distribution: the case of selected fragile economies
Halil Tunali, Nurhan Akdag
174-178
International trade between Turkey and China
Suat Teker, Dilek Teker, Irmak Orman
179-191
Decentralize finance and new lending protocols
Betul Kaplan, Vahit Ferhan Benli, Elcin Aykac Alp
192-195
Understanding the current global regime shift and the standing of the macro-financial system resilience
Thorsten Hens, Vahit Ferhan Benli, Sema Yilmaz Genc
196-197
Value creation in fintech sector
Anna Paola Micheli, Anna Maria Calce, Loris Di Nallo
198-199
Explicit calibration of pure jump processes: the BIST-30 European option case
Bilgi Yilmaz, A. Alper Hekimoglu
200-202
Evaluation of the financial performance of companies using blockchain technology and with high brand value by TOPSIS method
Buket Atalay Aycan, Hamide Ozyurek
203-204
The effect of currency protected deposits on financial performance of participation banks
Mustafa Yurttadur, Mehmet Zafer Tasci
205-206
Linking inventory management and financial performance of manufacturing industry companies
Narman Kuzucu, Serpil Kuzucu
207-208
Examination of the relationship between political and economic factors and fixed capital investments: The example of Turkish manufacturing sector
Seda Turnacigil, Toprak Ferdi Karakus
209-210
Shifts in Borsa Istanbul return behaviour: an analysis with change-point detection
Hazar Altinbas
211-212
Do cryptocurrencies have the potential to mitigate the impact of sanctions?
Levent Ozdemir
213-214
Testing the asymmetric relationship between CPI, PPI, and exchange rates: an application of the ARDL and NARDL methods
Bekir Asik
215-216
Budget myopia
Gunay Deniz Dursun
217-218
The impacts of estimation methods of financial reporting on the decisions of investors and continuity of businesses
Ibrahim Mert
218
Investigating the interrelation between sovereign CS and financial series using wavelet coherence analysis: case of Turkey
Sukriye Tuysuz, Mert Gul
219-220
An introductory study on market friction and price delay
Muberra Gungor, Veli Akel
221-224
The relationship between exchange rate volatility and inflation in Turkey
Huseyin Kaya, Sadettin Haluk Citci, Yunis Dede
225-227
Re-analysis of the EU public debt crises with NARX
Tayfun Tuncay Tosun
228-229
Do hot money movements drive Turkey’s housing prices?
Tuncer Yilmaz
230-231
Financial inclusion and economic development: Turkey and Greece
Suat Teker, Dilek Teker, Halit Guzelsoy
232-233
The evaluation of mandatory audit firm and auditor rotation: literature review
Levent Polat, S. Saygin Eyupgiller
234-235
A wage-led or profit-ledge demand regime: the case of Jordan (1990-20220)
Farah Omet, Ahmet Ozcam
236
A measurement of dollarization
Suat Teker, Dilek Teker, Halit Guzelsoy
237-238
Gender differences in risk perception and investment behavior
Suat Teker, Dilek Teker, Esin Demirel
239-240
New paradigm in tax management in the footprints of industry 4.0: tax administration 3.0
S.Saygin Eyupgiller
241-242
Cryptocurrencies and regulations: a comparative framework for international implementations
Ceyda Ozak, Dilek Teker
243-244
Measuring financial reporting quality of non-financial firms listed in Amman Stock Exchange
Mohammad Alahmad, Dilek Teker
245
The interaction between corporate governance and financial performance: an Implementation for the UK Banks
Ibrahim Almusattar, Dilek Teker
246-247