Evrim Akdoğu

Türkçe sürüm

Evrim Akdoğu

E-mail : evrimakdogusabanciuniv.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.