Başlık için Uluslararası Ticaret ve Finans Bölümü / Department of International Trade and Finance listeleme
Toplam kayıt 68, listelenen: 1-20
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1960’larda Türk Solunun Küçük Ölçekli İşadamlarına Bakışı: Yön ve Ant Dergileri Örneği
(2015)Bu araştırmada, Türkiye’de 1960’larda sol kesimlerin küçük sanayici ve esnafla ilgili yaklaşımı incelenecektir. 1960’ların özgürlük ortamında Türk solu, özellikle Türkiye’nin nasıl sanayileşeceğine dair önemli tartışmalar ... -
2000-2001 TÜRKİYE EKONOMİK KRİZİ’NE FAKLI BİR BAKIŞ: ASİMETRİK BİLGİ TEORİSİ ÇERÇEVESİNDE BİR DEĞERLENDİRME
(Sakarya Üniversitesi Sosyal Bilimler Enstitüsü, 2018)1980’li yıllarda başlayan finansal liberalizasyon süreçleriyle birlikte, Türkiye ve diğer gelişmekte olan ülkelerde irili ufaklı çok sayıda finansal dalgalanma yaşanmıştır. Günümüze kadar olan periyodda, bu dalgalanmalardan ... -
Afrodit
(Paraf Yayınları, 2013)Kadının henüz toplumun eşit bir yurttaşı olarak yurttaşlık haklarını elde edememiş olduğu bir dönemin gerçekleri çerçevesinde kurgulanmış yarı efsanevi bir romanla karşı karşıyayız. Grek toplumunda kadın, yurttaş sayılmamasına ... -
Analysis of the barriers to green supply chain management implementation: An application on the BIST sustainability index
(IGI Global, 2020)The statistical analysis of the data obtained by the survey method was performed with SPSS 22.0 program. According to the findings of the research, the most important barriers in the implementation of green supply chain ... -
Analysis of the Causality Relationship between Brent Crude Oil Prices and Energy Import in Turkey Under Structural Breaks
(Adem Anbar, 2019)Turkey, struggling with the problem of high current account deficit, is an energy dependent country due to lack of oil reserves. Therefore, the changes in energy prices do have impacts on balance of payments through ... -
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 ... -
ANALYSIS OF THE RELATIONSHIP BETWEEN INFLATION AND CENTRAL BANK INTEREST RATES IN TURKEY: FOURIER APPROACH
(Kenan ÇELİK, 2019)Within the framework of inflation targeting program officially implemented since 2006, the primary objective of the Central Bank of Republic of Turkey is to achieve and maintain price stability. As a result of ... -
Analysis of the Relationship between Real Effective Exchange Rate, Common Equity Tier 1 Ratio and Return on Equity: Evidence from Turkey
(Bahadır Fatih YILDIRIM, 2019)The analysis of the relationship between exchange rate fluctuations, common equity and return on equity is of high importance to be able to improve adequate policies with the purpose of maintaining stability in foreign ... -
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 ... -
Armed Conflict and Its Repercussions on Population Growth: The Turkish Case
(Taylor & Francis Ltd, 2021)The study empirically examines the impact of armed conflict on population growth in Eastern Turkey. The empirical findings confirm the implications of the theoretical model in the body of the paper. The results indicate ... -
AVRUPA BİRLİĞİ'NİN ÇATIŞMA ÇÖZÜMÜ KABİLİYETİ: MALİ VE ORTA AFRİKA CUMHURİYETİ VAKALARI
(Ankara Üniversitesi Avrupa Toplulukları Araştırma ve Uygulama Merkezi, 2022)Bu makalede Avrupa Birliği’nin (AB) çatışma çözümü yaklaşımı Mali ve Orta Afrika Cumhuriyeti’ndeki çatışma çözümü süreçleri üzerinden Whitman ve Wolff’un “kabiliyetler” modeli ışığında analiz edilmektedir. Çalışmada ... -
Behavioral Portfolio Theory
(Springer, 2021)The aim of this study is to explain behavioral portfolio theory in a theoretical way. The study starts with the definition of portfolio which is a financial asset that consists of various securities such as stocks and bonds ... -
Borsa istanbul hisse senedi getirilerinde balon oluşumu üzerine bir uygulama
(Cumhuriyet Üniversitesi, 2018)Finansal piyasalarda olumsuz etkileri bulunan balonlar araştırmacıların ilgisini çeken konulardan birisidir. 2008 Küresel kriz ve sonrasında ise araştırmacıların üzerinde sıklıkla durduğu konuların başında gelmektedir. Bu ... -
Boundaries on Turkish export-oriented industrialization
(Springer, 2020)This study examines the Turkish experience of export-oriented industrialization by emphasizing its linkage to previous capital accumulation model and developments and by the evolution of political and economic institutions. ... -
Creative Social Change : Leadership for a Healthy World
(Sage Publications Inc., 2022)In the book entitled "Creative social change: Leadership for a healthy world" which was published before the novel Coronavirus pandemic, there could be lessons that organizations have neglected. Its main argument implies ... -
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 ... -
The Determinants of Total Factor Productivity in European Union
(Springer, 2018)The aim of this study is to investigate the effect of construction sector on Total Factor Productivity (TFP) in European Union economy by using panel data analysis and analyzing cross-sectional data of 24 European Union ... -
Digitalization and Populism: Cross-Country Evidence
(Elsevier Sci Ltd, 2022)The current paper aims to analyze the impact of digitalization on the rise of populism in recent decades. To this purpose, it empirically investigates the impact of the business sector's digital adoption on populism using ... -
DIŞ BORÇLARIN ÜLKE CDS PRİMLERİ ÜZERİNDEKİ ETKİSİNİN İNCELENMESİ: TÜRKİYE ÖRNEĞİ
(T.C. Sayıştay Başkanlığı, 2019)Sovereign credit default spreads have been commonly used as an alternative credit risk measurement. Hence, identification of the determinants of sovereign CDS premiums has great importance in the macro-finance literature. ... -
Do confidence indicators have an impact on macro-financial indicators? An analysis of the financial service and real sector confidence indexes: Evidence from Turkey
(University of Coruna, Faculty of Economics and Business, 2020)The primary aim of this study is to analyze the impact of financial services and real sector confidence indexes on some macroeconomic and financial indicators such as industrial production, inflation, stock market index, ...