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In this study, the main purpose is to analyze the factors that stimulate the probability of financial crises. The period of analysis covers the years of 1970-2008, thereby including the impact of recent global financial crisis. The analysis aims to make a comparison for the developed and...
Persistent link: https://www.econbiz.de/10010320458
In this study, the main purpose is to analyze the factors that stimulate the probability of financial crises. The period of analysis covers the years of 1970-2008, thereby including the impact of recent global financial crisis. The analysis aims to make a comparison for the developed and...
Persistent link: https://www.econbiz.de/10009578760
Turkish Abstract: Blok zincirin en yaygın kullanıldığı alan olan kripto paralar son yıllarda en çok tercih edilen yatırım araçları arasındaki yerini aldı. Dünya üzerindeki çeşitli yatırım fonlarının da portföylerinde kendine yer bulan dijital varlıklar uzun zamandır...
Persistent link: https://www.econbiz.de/10013323172
Settlement is an important part of the regulatory authority’s enforcement program in capital markets. When compared to other countries, one of the major weaknesses currently characterizing Turkish securities markets in terms of enforcement powers is that regulatory authority (i.e. the Capital...
Persistent link: https://www.econbiz.de/10008464849
This paper focuses on emerging countries whose credit ratings are upgraded to investmentʺ level since 1990 and analyses the trends in selected financial and macroeconomic indicators before and after the upgrade decision. The analysis reveals that access to foreign capital gets easier after...
Persistent link: https://www.econbiz.de/10009407622
Turkish Abstract: Bu çalışmada Avrupa, Orta Doğu ve Güney Afrika'da Morgan Stanley Capital International (MSCI) gelişmekte olan piyasalar endeksine giren ülkelerde finansal piyasa istikrarı Baur ve Schulze (2009)'nın önerdikleri kantil regresyon modeline dayalı yeni bir ampirik testle...
Persistent link: https://www.econbiz.de/10012963420
Turkish abstract: Bu çalışmanın amacı, son 10 yıldır değişmekte olan uluslararası finansal yapının temel dinamiklerinin, hisse senedi piyasalarının volatilitesi üzerindeki etkisini belirlemektir. Bu amaçla emtia fiyatları, yatırımcıların risk iştahı, küresel ticaret hacmi...
Persistent link: https://www.econbiz.de/10012834339