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Toplam kayıt 31, listelenen: 1-10
Investigating the EKC hypothesis with nanotechnology, renewable energy consumption, economic growth and ecological footprint in G7 countries: panel data analyses with structural breaks
(Taylor & Francis, 2023)
This study investigates the relationship between nanotechnological innovations, renewable energy consumption, economic growth, and ecological footprint for G7 countries within the framework of the Environmental Kuznets ...
Investigating the EKC hypothesis with nanotechnology, renewable energy consumption, economic growth and ecological footprint in G7 countries: panel data analyses with structural breaks
(TAYLOR & FRANCIS INC, 2023)
This study investigates the relationship between nanotechnological innovations, renewable energy consumption, economic growth, and ecological footprint for G7 countries within the framework of the Environmental Kuznets ...
The Impact of Environmental Technological Innovations on CO2 Emissions: The Case of OECD Countries
(ISTANBUL UNIV, 2021)
Global warming and climate change, caused by greenhouse gas emissions, have compelled all countries to reconsider their production factors. Developing technologies to reduce emission volumes has been one of the priority ...
Economic and Institutional Determinants of Corruption: The Case of Developed and Developing Countries
(Springer, 2023)
Since ancient times, corruption has been one of the essential topics for economists and politicians. Moreover, it is a concern for both developed and developing countries and a significant obstacle to economic development. ...
THE RELATIONSHIP BETWEEN IN FINANCIAL MARKETS: A RESEARCH ON TURKISH FOOTBALL
(INT JOURNAL LIFESCIENCE & PHARMA RESEARCH, 2022)
The purpose of this paper is to analyze the relationship between risk and stock return on the basis of Turkish football teams traded in financial markets. The study consists of two stages. In the first stage, the most ...
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 ...
Firm, Country and Macroeconomic Determinants of Capital Structure: Evidence from Turkish Banking Sector
(2014)
This study explores the significance of firm-specific, country, and macroeconomic factors in explaining variation in leverage using a sample of banks from Turkish banking sector. The analysis is based on quarterly firm-level ...
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 ...
PARA POLİTİKASI ARAÇLARININ CARİ AÇIK ÜZERİNDEKİ ETKİNLİĞİ: TÜRKİYE EKONOMİSİ ÜZERİNE BİR UYGULAMA
(Global Journal of Economics and Business Studies, 2013)
Current account deficit is defined as balance of payment deficit which arise in the case that liabilities in current accounts of a country exceed account receivables. When we analyse this deficiency in terms of Turkish ...
Para Sevgisinin Vergi Ahlakı Üstündeki Etkisi
(Muhasebe ve Vergi Uygulamaları Dergisi, 2009)
Amaç: Bu araştırmanın amacı para sevgisinin vergi ahlakı üzerindeki
etkisini belirlemektir.
Metodoloji/Yaklaşım: Para sevgisinin vergi ahlakı üzerindeki etkisini
belirlemek amacıyla Giresun ilinde faaliyet gösteren ...