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Toplam kayıt 50, listelenen: 21-30
HİSSE SENEDİ PİYASALARINDA OYNAKLIK YAYILIMI ANALİZİ: TÜRKİYE ÖRNEĞİ
(Bekir Kocadaş, 2021)
Bu makalede Borsa İstanbul ve Türkiye için oynaklık yayılımı sonuçları verilmektedir. Oynaklık öngörülememe, belirsizlik ve risk ile ilişkilidir. Finansta ise oynaklık genellikle hisse senedi fiyatı gibi bir finansal ...
Türk Bankacılık Sektöründe Türev Ürünlerin Kullanımı ve Etkileri
(Türkiye Bankalar Birliği, 2021)
Bankacılık sektöründeki risk faktörleri bankaların zarara uğramasına ve sermayelerinin
erimesine neden olabilecek etkenleri ifade etmektedir. Bankalar faiz, kredi, kur ve diğer riskleri
yönetmek için etkili yöntemlere ...
Going to the Polls or Feeding Children? An Empirical Investigation of Voter Turnout among Turkish Women with Children at Home
(Boğaziçi Üniversitesi, İktisadi ve İdari Bilimler Fakültesi, 2020)
This study is based on a data set published in the 2013 Turkey Demographic and Health Survey.
The ordered logit econometric model is applied to examine the effects of the fertility
preferences of women on their electoral ...
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 Nexus Between the Democratic Transition and the Structural Transformation
(İstanbul Üniversitesi, 2020)
There are several theoretical and empirical papers on the structural transformation but there is not a study relating structural transformation with the political regime switch in the country. This paper aims to fill the ...
THE INTERACTION BETWEEN FOREIGN DIRECT INVESTMENT, FOREIGN PORTFOLIO INVESTMENT AND ECONOMIC GROWTH: THE CASE OF SUB- SAHARAN AFRICAN COUNTRIES
(Sakarya Üniversitesi Sosyal Bilimler Enstitüsü, 2020)
There are contradicting arguments in the literature examining the influence of
foreign investment on economic growth in Sub Saharan Africa. Some researchers
claim that high level of volatility, rising current account ...
Forecasting Stock Market Indices with the Composite Leading Indicators: Evidence from Turkey
(Sosyoekonomi Soc., 2020)
The objective of this study is to evaluate the empirical performance of composite leading indicators (CLIs) in forecasting stock market indices for Turkey in the period from 2007:03 through 2019:07. After examining the ...
THE NEXUS BETWEEN FINANCIAL DEVELOPMENT AND CARBON EMISSION: SYSTEM GMM APPROACH
(Bandırma Onyedi Eylül Üniversitesi İ.İ.B.F., 2019)
The study examines empirically the nexus between financial development and carbon emission by
giving particular emphasis on non-linear relations between financial development and carbon emission.
To this purpose we used ...
Mali Dengeler ile CDS Primleri Arasındaki Nedensellik İlişkisinin Analizine Yönelik Bir Çalışma; Türkiye Örneği
(İstanbul Gelişim Üniversitesi, 2019)
2010-2014 döneminde Avrupa Bölgesi’nde yaşanan borç krizinde temel
faktörlerden biri, finansal stres yaşayan Yunanistan, İspanya ve Portekiz gibi ülkelerin
makroekonomik temellerindeki dengesizliklerdir. Kriz döneminde, ...
Analysis of the Relationship between Economic Freedom Index and Stock Market Indices; Evidence from Turkey
(TÜRKİYE EKONOMİK VE MALİ ARAŞTIRMALAR VAKFI, 2019)
According to the Heritage Foundation Economic Freedom Index,
Turkey, with a overall score of 65.4, seems below the regional average.
On the other hand, BIST 100 has a good performance with a nearly %20
rise from 2016 ...