- Q1 0 %0.0
- Q2 1 %25.0
- Q3 0 %0.0
- Q4 3 %75.0
Academician
HÜSEYİN DAĞLI
PROFESÖR
KARADENİZ TEKNİK ÜNİVERSİTESİ İKTİSADİ VE İDARİ BİLİMLER FAKÜLTESİ İŞLETME BÖLÜMÜ
- Ana Dal Sosyal-Beşeri ve İdari Bilimler Temel Alanı
- Yan Dal Finans
Citation impact
OpenAlex YÖKSİS articles matched in OpenAlex: 15- i10-index
- 1
- Total citations
- 52 Top 46% in Türkiye
- Per article
- 3.5
- FWCI
- 0.53 1.00 = world average
- World top 1%
- 0
- World top 10%
- 0
Most cited articles
h-index and citations are computed from the citation counts of this academic’s YÖKSİS articles matched in OpenAlex (not Google Scholar, WoS or Scopus). Unmatched articles are not included. h-index on the OpenAlex author profile: 5.
Field ranking
YÖKSİS ?-
Main field Sosyal-Beşeri ve İdari Bilimler Temel AlanıPoints rank #2,807/ 34,375 top 8.2% At university #29/ 252Score 11.45 journal 11.2 · OA add 0.25
- Article rank1,441/34,375
- Scopus rank5,460/34,375
- WoS rank3,691/34,375
- YÖKSİS46
- Scopus4
- WoS6
-
Side field FinansPoints rank #185/ 1,387 top 13.3% At university #1/ 7Score 11.45 journal 11.2 · OA add 0.25
- Article rank100/1,387
- Scopus rank286/1,387
- WoS rank220/1,387
- YÖKSİS46
- Scopus4
- WoS6
-
Kw. BankacılıkPoints rank #44/ 342 top 12.9% At university #1/ 2Score 11.45 journal 11.2 · OA add 0.25
- Article rank26/342
- Scopus rank59/342
- WoS rank44/342
- YÖKSİS46
- Scopus4
- WoS6
-
Kw. Finansal Piyasalar ve KurumlarPoints rank #124/ 734 top 16.9% At university #1/ 6Score 11.45 journal 11.2 · OA add 0.25
- Article rank67/734
- Scopus rank175/734
- WoS rank136/734
- YÖKSİS46
- Scopus4
- WoS6
-
Kw. Yatırımlar ve Portföy YönetimiPoints rank #79/ 436 top 18.1% At university #1/ 4Score 11.45 journal 11.2 · OA add 0.25
- Article rank53/436
- Scopus rank117/436
- WoS rank91/436
- YÖKSİS46
- Scopus4
- WoS6
Index quartiles
?- Q1 0 %0.0
- Q2 1 %16.7
- Q3 0 %0.0
- Q4 5 %83.3
Other counts
Scopus (SJR)
- YÖKSİS rows 6
WoS (JCR)
- YÖKSİS rows 7
TR Index
- YÖKSİS rows 16 articles
Proceedings
Conference proceedings recorded in YÖKSİS.
Records
-
2011 INTERNATIONAL PORTFOLIO DIVERSIFICATION OPPORTUNITIES BETWEEN TURKEY AND OTHER EMERGING MARKETS
-
2023 FACTORS INFLUENCING INVESTMENT DECISIONS: THE CASE OF INDIVIDUAL INVESTORS AT THE DHAKA STOCK EXCHANGE
-
— The Long-Run International Portfolio Diversification Benefits: Evidence from Emerging Markets in Europe, Middle East and Africa (EMEA)
-
2019 Financial Performance Evaluation of Turkısh Wholesale and Retail Trade Firms in Istanbul Stock Exchange (BIST)
-
2011 International Portfolio Diversification Opportunities Between Turkey and Other Emerging Markets
-
2013 The Long run International Portfolio Diversification Benefits Evidence from Emerging Markets in Europe Middle East and Africa EMEA
-
2011 International Portfolio Diversification Opportinities between Turkey and Other Emerging Markets
-
2008 Türkiye nin Doğrudan Yabancı Yatırım Çekme Performansının Değerlendirilmesi
-
1995 An Analysis of Ownership Structure and Performance Relationship in Turkish Commercial Banking System
-
2011 The Effect of R D Expenditure on the Stock Returns and Risk in Emerging Markets The Case of Turkey
-
1995 Yatırım Fonlarında Performans Değerlendirmesi Türkiye Örneği
-
1994 Türkiye de Faaliyette Bulunan Yatırım Bankalarında Verimlilik Analizi
-
2011 The Effect of R-D Expenditure on the Stock Returns and Risk in Emerging Markets: The Case of Turkey