About
About
Trends
DOI Service
Subjects
Journals
Publishers
All
University
Government
Association
Foundation
Trade Association
Person
Union
Company
Researchers
Journal Wizard
Help
Announcements
Developments
Roadmap
English
Turkish
English
Admin Panel
User Panel
Coordinator of Scientific Publishing Panel
My Journals
My Research
My Followers
Profile
Logout
Login
Serap Kamışlı
Asst. Prof. Dr.
Bilecik Şeyh Edebali Üniversitesi
Publication
10
Review
2
CrossRef Cited
3
TR Dizin Cited
3
10
Publication
2
Review
3
CrossRef Cited
3
TR Dizin Cited
0000-0002-4714-6678
Follow
Following
Edit My Profile
Followers
Following
Summary
Publications
Peer Review
Cited
Research Fields
Finance and Investment
Finance
Financial Markets and Institutions
Institution
Bilecik Şeyh Edebali Üniversitesi
Popular Publications
The Relationship between Confidence Indices and Stock Market: Sectoral Approach
Authors:
Serap Kamışlı
,
Ekrem Meriç
Published: 2024 ,
Anadolu Üniversitesi Sosyal Bilimler Dergisi
DOI: 10.18037/ausbd.1486007
CITED
2
FAVORITE
2
TOTAL DOWNLOAD COUNT
557
2
CITED
2
FAVORITE
557
TOTAL DOWNLOAD COUNT
Revisiting the volatility relations between Turkish and European stock markets: Fourier causality in variance test application
Authors:
Serap Kamışlı
,
Güven Sevil
Published: 2025 ,
Erciyes University Journal of Faculty of Economics and Administrative Sciences
DOI: 10.18070/erciyesiibd.1580189
CITED
0
FAVORITE
1
TOTAL DOWNLOAD COUNT
212
0
CITED
1
FAVORITE
212
TOTAL DOWNLOAD COUNT
Publications
ANALYZING THE LONG-RUN ASYMMETRIC RELATIONSHIP BETWEEN TURKEY AND EUROPEAN STOCK MARKETS: APPLICATION OF IMPLICIT ASYMMETRIC COMBINED COINTEGRATION TEST
Authors:
Serap Kamışlı
,
Güven Sevil
,
Melik Kamışlı
,
Fatih Temizel
,
Tuba Sevil
Published: 2025 ,
International Journal of Management Economics and Business
DOI: -
FAVORITE
0
TOTAL DOWNLOAD COUNT
101
0
FAVORITE
101
TOTAL DOWNLOAD COUNT
The Relationship Between Digital Exchange Rate Arbitrage and the Foreign Exchange Market
Authors:
Serap Kamışlı
Published: 2025 ,
Journal of Economic Policy Researches
DOI: 10.26650/JEPR1718643
FAVORITE
0
TOTAL DOWNLOAD COUNT
17
0
FAVORITE
17
TOTAL DOWNLOAD COUNT
Volatility Spillovers between Spot and Futures Markets and the Analysis of Their Persistence
Authors:
Serap Kamışlı
,
Güven Sevil
,
Melik Kamışlı
,
Fatih Temizel
,
Tuba Sevil
Published: 2025 ,
Journal of Research in Economics Politics and Finance
DOI: 10.30784/epfad.1702207
FAVORITE
0
TOTAL DOWNLOAD COUNT
267
0
FAVORITE
267
TOTAL DOWNLOAD COUNT
Are The Green Bond Markets Independent from The Traditional Markets?
Authors:
Serap Kamışlı
Published: 2025 ,
Journal of Economics Business and Political Researches
DOI: 10.25204/iktisad.1670338
FAVORITE
0
TOTAL DOWNLOAD COUNT
246
0
FAVORITE
246
TOTAL DOWNLOAD COUNT
Revisiting the volatility relations between Turkish and European stock markets: Fourier causality in variance test application
Authors:
Serap Kamışlı
,
Güven Sevil
Published: 2025 ,
Erciyes University Journal of Faculty of Economics and Administrative Sciences
DOI: 10.18070/erciyesiibd.1580189
FAVORITE
1
TOTAL DOWNLOAD COUNT
212
1
FAVORITE
212
TOTAL DOWNLOAD COUNT
THE RELATIONSHIPS BETWEEN THE GLOBAL SUPPLY CHAIN AND THE STOCK MARKETS OF DEVELOPED AND EMERGING COUNTRIES: SECTORAL VIEW
Authors:
Serap Kamışlı
Published: 2025 ,
Anadolu Üniversitesi İktisadi ve İdari Bilimler Fakültesi Dergisi
DOI: 10.53443/anadoluibfd.1641157
FAVORITE
0
TOTAL DOWNLOAD COUNT
312
0
FAVORITE
312
TOTAL DOWNLOAD COUNT
DETERMINATION OF THE RELATIONSHIP BETWEEN RISK PROPENSITY INDEX AND RISK INDICATORS
Authors:
Serap Kamışlı
Published: 2024 ,
International Journal of Management Economics and Business
DOI: 10.17130/ijmeb.1498395
FAVORITE
0
TOTAL DOWNLOAD COUNT
700
0
FAVORITE
700
TOTAL DOWNLOAD COUNT
Türk Bankacılık Sektöründe Eurobond Yatırımlarının Belirleyicileri
Authors:
Serap Kamışlı
Published: 2024 ,
Girişimcilik ve Kalkınma Dergisi
DOI: -
FAVORITE
0
TOTAL DOWNLOAD COUNT
947
0
FAVORITE
947
TOTAL DOWNLOAD COUNT
The Relationship between Confidence Indices and Stock Market: Sectoral Approach
Authors:
Serap Kamışlı
,
Ekrem Meriç
Published: 2024 ,
Anadolu Üniversitesi Sosyal Bilimler Dergisi
DOI: 10.18037/ausbd.1486007
FAVORITE
2
TOTAL DOWNLOAD COUNT
557
2
FAVORITE
557
TOTAL DOWNLOAD COUNT
The Asymmetric Relationships Between Hedge Funds and Financial Indicators: Evidence From Turkey
Authors:
Serap Kamışlı
,
Neslihan Kocadayı
,
Mustafa Hamad Ameen
Published: 2020 ,
Girişimcilik ve Kalkınma Dergisi
DOI: -
FAVORITE
0
TOTAL DOWNLOAD COUNT
902
0
FAVORITE
902
TOTAL DOWNLOAD COUNT
Articles published in
Anadolu Üniversitesi İktisadi ve İdari Bilimler Fakültesi Dergisi
Anadolu Üniversitesi Sosyal Bilimler Dergisi
Erciyes University Journal of Faculty of Economics and Administrative Sciences
Girişimcilik ve Kalkınma Dergisi
International Journal of Management Economics and Business
Journal of Economic Policy Researches
Journal of Economics Business and Political Researches
Journal of Research in Economics Politics and Finance
Reviews
Anadolu Üniversitesi İktisadi ve İdari Bilimler Fakültesi Dergisi
Pamukkale University Journal of Social Sciences Institute
Publications
DETERMINATION OF THE RELATIONSHIP BETWEEN RISK PROPENSITY INDEX AND RISK INDICATORS
Authors:
Serap Kamışlı
Published: 2024 ,
International Journal of Management Economics and Business
DOI: 10.17130/ijmeb.1498395
CITED
1
FAVORITE
0
TOTAL DOWNLOAD COUNT
700
1
CITED
0
FAVORITE
700
TOTAL DOWNLOAD COUNT
The Relationship between Confidence Indices and Stock Market: Sectoral Approach
Authors:
Serap Kamışlı
,
Ekrem Meriç
Published: 2024 ,
Anadolu Üniversitesi Sosyal Bilimler Dergisi
DOI: 10.18037/ausbd.1486007
CITED
2
FAVORITE
2
TOTAL DOWNLOAD COUNT
557
2
CITED
2
FAVORITE
557
TOTAL DOWNLOAD COUNT
Interactive Guide Tool
If you want to see the panel introduction, you can click Start Tour.
Start Tour