PUBLICATIONS
Written, co-written and supervised hundreds of papers related to Behavioural Finance throughout the years, Gulnur appreciates knowledge and innovation put together to benefit the world, economically and socially. This is her passion.
Expertise
Gulnur is an expert in Behavioural finance.
Gulnur has published widely on financial crisis including the most recent ones triggered by the Covid19 pandemic, Brexit, Ukrainian War and formerly 2008 global crisis, and 1998 Asian crisis.
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Gulnur has also worked extensively on trading strategies and forecasting using behavioural finance ideas, measuring biases in financial market professionals and training them to reduce bias for better investment performance.
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She is the Editor in Chief of the Review of Behavioural Finance​
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Publications
Gulnur's research papers has been published in a number of renowned journals, including:
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The Journal of Banking and Finance
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British Journal of Management
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European Journal of Financial Management
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Journal of International Financial Markets Institutions and Money
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European Journal of Finance
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International Review of Financial Analysis
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The Journal of Behavioural Finance
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Review of Behavioural Finance
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European Journal of Operational Research
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Journal of Forecasting
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International Journal of Forecasting
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If you are interested in reading Gulnur's published papers you can find them here
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