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An Analysis of the Stock Market Volatility Spread in Emerging Countries
(Istanbul Business Research, 2021)
This article provides results on the volatility spread for stock markets in emerging economies. Empirical studies on determining or predicting volatility in national and international financial markets provide information ...
TRIPLE DEFICIT PRESSURE INDEX AND ESTIMATION OF THE FINANCIAL CRISIS: THE CASE OF TURKEY
(MEHMET AKIF ERSOY UNIV, 2022)
The main indicators affecting short and longterm macroeconomic stability are budget deficits, current account deficit and savings deficits expressed as savings-investment imbalance. In the literature of Economics and ...
The Determinants of the Volatility in Cryptocurrency Markets: The Bitcoin Case
(Bogazici Universitesi, 2021)
This article analyzes the volatility in the cryptocurrency markets. Cryptocurrencies have come to the fore especially in recent years. They have no global border and are easy to use. The earliest example of a cryptocurrency ...
INDEX OF CURRENCY MARKET TURBULENCE AND ESTIMATION OF LEADING INDICATORS: THE CASE OF TURKEY
(Beykoz Üniversitesi, 2020)
A currency crisis is a condition in which the exchange rate significantly depreciates for a short
period of time. Currency crises have significant economic and social consequences. Therefore,
many indices are created to ...
The Relationship Between Direct Foreign Capital Investment, Economic Freedom And Economic Growth In Emerging Markets
(Selçuk Üniversitesi Sosyal Bilimler Meslek Yüksekokulu, 2019)
Ekonomik büyüme bir ekonominin zaman içindeki üretim hacmindeki artış olarak tanımlanmaktadır. Yabancı sermaye
yatırımları genellikle ikiye ayrılmaktadır: Doğrudan yabancı sermaye yatırımları ve dolaylı yabancı sermaye ...