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Toplam kayıt 64, listelenen: 51-60
Jeopolitik Risklerin Makroekonomik Göstergeler Üzerindeki Etkisi: Türkiye Örneği
(2022)
Çalışmanın amacı jeopolitik risklerin Türkiye’deki makroekonomik değişkenler üzerindeki etkisini 1994 Ocak ile 2022 Nisan dönemi için aylık veriler kullanarak incelemektir. Jeopolitik risk göstergesi olarak Caldara ve ...
Hisse Senedi Piyasaları Arasında Risk Durumunda Nedensellik İlişkisi
(2022)
Bu çalışmada, G-20 ülkelerinin hisse senedi piyasaları arasında aşırı risk durumlarında nedensellik ilişkisinin olası varlığının tespit edilmesi amaçlanmıştır. Bu amaçla 2 Ocak 1995-26 Mayıs 2022 tarihleri arasında günlük ...
HİMAYE-İ ETFAL CEMİYETİ’NİN GELİRLERİÜZERINE BIR DEĞERLENDİRME
(2020)
Çocuk koruma dünyadaki evrensel konulardan biridir. Tarihin erken dönemlerinden itibaren çocuklar çeşitl şekillerde korunmuştur. Osmanlı Devletinde çocuk koruma erken dönemlerden itibaren varlığını sürdürmektedir. Tanzimat ...
Analyzing Exchange Market Pressure Dynamics with Markov Regime Switching: The Case of Turkey
(Vilnius Univ, 2022)
This study analyzes the dynamics of exchange market pressure in Turkey by employing the Markov regime switching model for the period from January 2006 to December 2019. Our findings show that there are two regimes in the ...
Structural breaks, financial globalization, and financial development: Evidence from Turkey
(Univ Islam Indonesia, 2022)
Purpose ? Mishkin's hypothesis suggests that globalization appears to be a vital factor in stimulating the development of the financial system. The study examines this hypothesis for the Turkish economy from 1970 to 2017. ...
Oil prices and sectoral stock returns in the BRICS-T countries: A time-varying approach
(Elsevier Sci Ltd, 2022)
This paper investigates how exchange rates and oil prices have affected sectoral stock returns in the BRICS-T countries over the period from 2 January 2001 to 22 March 2021. Following the estimation of a benchmark linear ...
Emerging market portfolios and Islamic financial markets: Diversification benefits and safe havens
(Elsevier, 2022)
We examine the relationship between Islamic and conventional stock market returns to see if Islamic financial markets provide portfolio diversification benefits and safe havens during turbulent times. Using daily data from ...
The relationship between health expenditure indicators and economic growth in OECD countries: A Driscoll-Kraay approach
(Frontiers Media Sa, 2022)
IntroductionThe main purpose of the study is to examine the relationship between health expenditure indicators and economic growth in OECD countries. MethodsIn this context, health expenditures and economic indicators data ...
Revisiting of Interest Rate Channel: Nonlinear transmission of Monetary Policy Shocks to the Turkish Economy
(Sciendo, 2023)
This study examines the effectiveness of non-linear monetary policy interest rate channel shocks for the Turkish economy using the threshold VAR analysis in the period of 2006-2019. The interest channel is examined with ...
Examining the effect of credit on monetary policy with Markov regime switching: Evidence from Turkey
(Sciendo, 2022)
This paper analyses the effect of credit on monetary policy responses for different regimes in Turkey. To do so, the Taylor rule augmented with the credit gap is estimated by using a Markov regime switching model from ...