Ara
Toplam kayıt 5, listelenen: 1-5
Corruption, banking sector, and stock market development: A panel data analysis
(2013)
Studying the relation between corruption and financial factors and examining its consequences for financial system have attracted many researchers in recent years. This study examines the role of corruption and banking ...
HİSSE SENEDİ PİYASASININ GELİŞMESİNİN MAKROEKONOMİK VE KURUMSAL BELİRLEYİCİLERİ ÜZERİNE BİR ARAŞTIRMA: PANEL VERİ ANALİZİ
(2013-04)
Son yıllarda finansal gelişmeyi belirleyen faktörlerin ortaya konmasına ilişkin çalışmaların hızla arttığı dikkati çekmektedir. Bununla birlikte, literatürde gelişmekte olan ekonomilerde hisse senedi piyasasının gelişmesini ...
Seigniorage Revenue and Inflation Tax: Testing Optimal Seigniorage Theory for Turkish Economy
(#AD?, 2013)
The goal of this study is to test the implication of Mankiv’s (1987) optimal seigniorage theory suggesting that in the long run higher tax rates are associated with higher inflation rates and higher nominal interest rates ...
2008 Küresel Krizi ve OECD Ülkelerinin Veri Zarflama Analizi Tekniği ile Kaynak ve Ölçek Etkinlikleri Analizi
(2013-09)
Efficient use of resources is of great importance for continuous growth which is one of countries the largest macro goal. Efficient use while the input data, it can be defined as access to maksimum output. In this study, ...
Financial Openness and Capital Mobility: A Dynamic Panel Data Analysis
(2013-07)
This study estimates saving and investment correlations for the Central and Eastern Europe (CEE) transition economies and the G-20 countries to assess the degree of capital mobility. Employing GMM, this study uses financial ...