Türkçe sürüm |
Evrim AkdoğuE-mail : evrim.akdogu sabanciuniv.edu Personal web page  Areas of Interest :
Corporate Finance; Theory and Empirical.Publications :
Article |
Akdoğu, Evrim and Paukowits, Aysun Alp and Çelikyurt, Uğur (2023) "Bondholder governance, takeover likelihood, and division of gains", Journal of Corporate Finance, Vol.79 (SSCI) |
Akdoğu, Evrim and Şimşir, Şerif Aziz (2023) "Are blockchain and cryptocurrency M&As harder to close?", Finance Research Letters, Vol.52 (SSCI) |
Akdoğu, Evrim and Şimşir, Şerif Aziz and Meriç Yılmaz, Merve (2022) "SPACs and the regulation gap: the effect of first SEC intervention on share and warrant returns", Finance Research Letters, Vol.50 (SSCI) |
Akdoğu, Evrim and Alp Paukowits, Aysun (2022) "Supply of credit and corporate bond covenants", Journal of Corporate Finance, Vol.72 (SSCI) |
Akdoğu, Evrim and Avcı, Süreyya Burcu and Şimşir, Şerif Aziz (2021) "Stock price reaction to debt offerings: the Turkish evidence", Emerging Markets Finance and Trade, Vol.57, No.14, 4070-4088 (SSCI) |
Akdoğu, Evrim and Atılgan, Yiğit (2021) "The impact of debt covenants on earnings announcement returns", Applied Economics, Vol.53, No.50, 5826-5842 (SSCI) |
Akdoğu, Evrim and Aktas, Nihat and Şimşir, Şerif Aziz (2021) "The effect of unionization on industry merger activity around negative economy-wide shocks", International Review of Financial Analysis, Vol.76 (SSCI) |
Akdoğu, Evrim and Alp Paukowits, Aysun and Celikyurt, Ugur (2020) "The relationship of G-Index and convertible debt issuance in the presence of restrictive covenants", International Review of Economics and Finance, Vol.70, 373-390 (SSCI) |
Akdoğu, Evrim and Alp, Aysun (2016) "Credit risk and governance: evidence from credit default swap spreads", Finance Research Letters, Vol.17, 211-217 (SSCI) |
Working Paper / Technical Report |
Avcı, Burcu and Akdoğu, Evrim and Şimşir, Şerif Aziz, "Borsa İstanbul ilk halka arz piyasa dinamikleri ve düşük fiyatlama", June 2020 |
Akdoğu, Evrim and Avcı, Burcu and Şimşir, Şerif Aziz, "Özel sektör borçlanma araçları piyasası", June 2019 | Before SU Publications:
1. “Product Markets and Corporate Investment: Theory and Evidence”, 2012, (with Peter MacKay), Journal of Banking and Finance, vol. 36, pp. 439-453.
2. “Value-Maximizing Managers, Value-Increasing Mergers and Overbidding”, 2011, Journal of Financial and Quantitative Analysis , vol. 46-1, pp. 83-110.
3. “Gaining a Competitive Edge through Acquisitions: Evidence from the Telecommunications Industry”, 2009, Journal of Corporate Finance, vol. 15-1, pp. 99-112.
4. “Investment and Competition”, 2008, (with Peter MacKay), Journal of Financial and Quantitative Analysis, vol. 43-2, pp. 299-330.
5. “2005-2008 Dönemi Türkiye Firma Birleşmeleri Dalgası ve Önemi”, 2012, Muhasebe ve Finansman Dergisi, Cilt 55, s. 51-70.
6. “Türkiye’de 1988-2008 dönemindeki Firma Birleşmeleri, Birleşme Dalgaları ve Genel Tablo”, 2011, Muhasebe ve Finansman Dergisi, Cilt 52, s. 137-152.
7. “Credit Risk and Governance: Evidence from Credit Default Swap Spreads”, 2016, (with Aysun Alp), Finance Research Letters, vol. 17, pp. 211-217.
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