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Neslihan Yılmaz

Professor
Vice Chair
Ph.D: 
Michigan State University
Teaching Areas: 

Financial Management, Corporate Finance, International Finance 

Research Areas: 

Behavioral Finance, Managerial Turnover, Corporate Governance, Product Market Competition 

Phone: 
6511
E-Mail: 
neslihan.yilmaz@boun.edu.tr
Selected Publications: 
Morali, O., Yilmaz, N. (2023). Even Pricing in Real Estate Prices. International Real Estate Review, In Press., -.
Morali, O., Yilmaz, N. (2022). Analysis of Spatial Dependence in Real Estate Prices. Journal of Real Estate Finance and Economics, 64, 93-115.
Acar, M.G.C, Karahan, C.C., Yilmaz, N (2022). Is There an Analyst (Un)Coverage Premium?. Research in International Business and Finance, 61, 101665.
Celiktas, M., Yilmaz, N., (2020). Money Illusion, Financial Literacy, and Implications of Self-Perceptions. Applied Economics Letters, 28:6, 447-450.
Morali, O., Yilmaz, N., (2020). Spatial Heterogeneity in Istanbul Housing Market: A Geographically Weighted Approach. Journal of Economics, Finance and Accounting , 7(4), 298-307.
Morali, O., Yilmaz, N., (2020). Analysis of Spatial Dependence in Real Estate Prices. Journal of Real Estate Finance and Economics, forthcoming , N/A. doi: doi: 10.1007/s11146-020- 09794-1
Tekce, B., Yilmaz, N., Bildik, R. (2016). What Factors Affect Behavioral Biases? Evidence From Turkish Individual Stock Investors. Research in International Business and Finance, 37, 515-526. doi: 10.1016/j.ribaf.2015.11.017
Kalaycıoglu, C., Yilmaz, N. (2016). Can Prospect Theory Predict the Decision Making by Professionals? Evidence from the Pharmaceutical Industry. International Journal of Applied Behavioral Economics, 5(1), 24-47. doi: 10.4018/IJABE.2016010102
Yilmaz, N. (2015). Overconfident CEO Appointments: Determinants and Consequences on Competitors. In Zeynep Copur, The Handbook of Research on Behavioral Finance and Investment Strategies: Decision Making in the Financial Industry (pp. 448-462). : IGI Global. doi: 10.4018/978-1-4666-7484-4.ch026
Pasha FM, Yilmaz N. (2015). Assessing the Financial Vulnerability of Emerging Markets. In Qaiser Munir, Handbook of Research on Financial and Banking Crisis Prediction through Early Warning Systems (pp. N/A). : IGI Global. doi: 10.4018/978-1-4666-9484-2.ch020

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