Ph.D. : Michigan State University
Teaching Areas: Financial Management,
Corporate Finance, International Finance
Research Areas: Behavioral Finance, Managerial Turnover, Corporate Governance, Product Market Competition
- Tekce, Bulent, Yilmaz, N., 2015, Are Individual Stock Investors Overconfident? Evidence from an Emerging Market, Journal of Behavioral and Experimental Finance, Forthcoming
- Ascioglu, A., Karahan, M. O., Yilmaz, N., 2015, Price Discovery Between New York Stock Exchange and Istanbul Stock Exchange, Emerging Markets Finance and Trade, Forthcoming
- Yilmaz, N., 2015, The Effect of CEO Overconfidence on Product Market Performance, 2015, International Journal of Applied Behavioral Economics, 4 (1), pp. 1-17
- Yilmaz, N., 2015, Overconfident CEO Appointments: Determinants and Consequences on Competitors, In Zeynep Copur's (Ed.) The Handbook of Research on Behavioral Finance and Investment Strategies: Decision Making in the Financial Industry, IGI Global.- Mazzeo, M. J., Yilmaz, N., 2014, The Effect of CEO Overconfidence on Turnover Abnormal Returns, Journal of Behavioral and Experimental Finance, pp. 11-21.