Academician profile · DOÇENT
ERDEM KILIÇ
- Ana Dal Sosyal-Beşeri ve İdari Bilimler Temel Alanı
- Yan Dal Makro İktisat
- İKTİSADİ VE İDARİ BİLİMLER FAKÜLTESİ
- İKTİSAT BÖLÜMÜ
Scopus (SJR)
Q1
0
Q2
8
Q3
6
Q4
0
WoS (JCR)
Q1
2
Q2
4
Q3
3
Q4
2
TR Index
6
articles
Articles
- 2026 Institutional and macroeconomic determinants of defense spending: evidence from a global panel
- 2025 Utilization of Artificial Intelligence for Portfolio Optimization in Shallow Markets
- 2025 Does US Monetary Policy Affect Stock Market Behaviour Under Extreme Market Conditions? Evidence from COVID-19
- 2025 European individuals’ satisfaction with national governments during the COVID-19 pandemic
- 2025 Military Spending and Economic Stability in BRICS+ and G7 Countries
- 2025 Economic and Financial Integration in BRICS+
- 2023 COVID-19 PANDEMİ DÖNEMİNDEKİ BİREYSEL EMEKLİLİK SİSTEMİNE KATILIM DİNAMİKLERİ
- 2023 COVID-19 pandemi dönemindeki Bireysel Emeklilik Sistemine katılım dinamikleri
- 2022 Effects of Fiscal Rules and Political Framework: Evidence from COVID-19 Crisis. Ekonomi Politika ve Finans Araştırmaları Dergisi, 7(4), 869-888.
- 2021 Arbitrageur Behavior in Sentiment-Driven Asset-Pricing
- 2021 Arbitrageur Behaviour in Sentiment-Driven Asset-Pricing
- 2019 Oil Price and Economic Activity in G7 and BRICS Countries
- 2018 Contagion Effects of U.S. Dollar and Chinese Yuan in Forward and Spot Foreign Exchange Markets
- 2016 Consumer Confidence and Economic Activity A Factor Augmented VAR Approach
- 2016 Consumer confidence and economic activity a factor augmented VAR approach
- 2015 Evidence for Financial Contagion in Endogenous Volatile Periods
- 2014 A value adding approach to reliability under preventive maintenance costs and its applications
- 2014 Ekonomik öncü göstergelerinin BES katılımcı sayısı üzerindeki etkisi
- 2014 Fuzzy optimization for portfolio selection based on Embedding Theorem in Fuzzy Normed Linear Spaces
- 2014 Conditional Correlations and Volatility Links Among Gold Oil and Istanbul Stock Exchange Sector Returns