Browsing Uluslararası Ticaret ve Finans Bölümü Koleksiyonu by Issue Date
Now showing items 1-20 of 41
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Yeni Keynesci Yaklaşımda Ücret ve İstihdam
(İstanbul Üniversitesi, 2002)The purpose of this paper is to explore the new Keynesian approach on wages and employment relationship. According to new Keynesian school, market clearing mechanism does not exist due to rigidities and stickiness. This ... -
An analysis of the unemployment selected MENA countries and Turkey
(2008)One of the most important economic and social problems of the Middle East and North Africa (MENA) is the high rate of unemployment. Unemployment in the selected MENA countries like Egypt Israel Jordan and Turkey are examined ... -
International financial crises and the political economy of financial reforms in Turkey: 1994-2009
(2009)This study1 holds for the formation of international financial crisis and political factors for economic crisis in Turkey are evaluated in chronological order. The international arena and relevant studies conducted in ... -
Measuring bank branch performance using Data Envelopment Analysis (DEA): The case of Turkish bank branches
(Academic Journals, 2011)The aim of this study is to develop a performance model for measuring the relative efficiency and potential improvement capabilities of bank branches by identifying their strengths and weaknesses. Another purpose is to ... -
Is U.S. labor market flexibility a prescription to curve Turkey's high unemployment?
(2011)This paper compares the U.S. and Turkish labor markets in terms of flexibility and draws some results for Turkey. In paper the U.S. is considered a flexible model and Turkey a rigid model. Since 2001 unemployment is one ... -
Modeling of claim exceedances over random thresholds for related insurance portfolios
(Elsevier Science Bv, 2011)Large claims in an actuarial risk process are of special importance for the actuarial decision making about several issues like pricing of risks determination of retention treaties and capital requirements for solvency. ... -
A tournament analysis of mutual funds in Turkey
(Bilgesel Yayincilik San & Tic Ltd, 2012)This is an analysis of the mutual funds in Turkey with respect to their risk-altering behavior Using the monthly returns and volatilities of 133 funds from 2002 to 2007 we divide each year in two parts and check whether ... -
A survey analysis on the investment attitudes of individual investors
(Bilgesel Yayincilik San & Tic Ltd, 2013)This study aims to analyze determinants of trading behavior of individual investors where a survey of 55 questions on 85 people is used. The survey is composed of four parts: demographic properties perceived emotions ... -
Bivariate Pseudo-Gompertz distribution and concomitants of its order statistics
(Elsevier Science Bv, 2013)This paper presents a new bivariate Pseudo-Gompertz distribution that sprouts from the classical Gompertz distribution and possesses the features of pseudo-distribution functions. In addition to some standard properties ... -
Recent Advances in Applied and Computational Mathematics: ICACM-IAM-METU
(Elsevier, 2014)[Abstract Not Available] -
A behavioral analysis of investor diversification
(Routledge Journals Taylor & Francis Ltd, 2014)This paper studies the link between individual investors' portfolio diversification levels and various personal traits that proxy informational advantages and overconfidence. The analysis is based on objective data from ... -
Competition in Turkish Banking: Impacts of Restructuring and the Global Financial Crisis
(Wiley, 2014)This paper investigates the evolution of competition in the Turkish banking industry by taking into account the transformation in the sector in the aftermath of the country's financial crisis of 2000 to 2001 and the global ... -
On concomitants of upper record statistics and survival analysis for a pseudo-Gompertz distribution
(Elsevier Science, 2014)This paper presents upper record statistics and their concomitants for a bivariate pseudo-Gompertz distribution about paired lifetime variables. Survival and hazard functions are derived for the distribution. The survival ... -
Measurement of bivariate risks by the north-south quantile points approach
(Elsevier Science, 2014)This paper attempts to determine the Value at Risk (VaR) and Conditional Value at Risk (CVaR) measures for the sum of bivariate risks under dependence. The computation of these risk measures is performed by the north-south ... -
Profit sharing between managers and investors: An experimental investigation
(Elsevier Science Bv, 2015)This study analyzes the effect of interest and power structures and conflict of interest among managers and investors and tests the effect of different payout mechanisms on willingness to pay. In this study 74 student ... -
Liberalization Post-Crisis Restructuring and Internationalization in Turkish Banking
(Routledge Journals Taylor & Francis Ltd, 2015)This study provides a historical review of the transformation of the Turkish banking sector since the initiation of the financial liberalization program in 1980. It demonstrates the roles of macroeconomic institutional and ... -
Determinants of Saving-Borrowing Decisions and Financial Inclusion in a High Middle Income Country: The Turkish Case
(Routledge Journals Taylor & Francis Ltd, 2016)We use a representative survey of the Turkish household sector and investigate factors impinging on saving-borrowing behavior. We run four probit regressions to elucidate (i) the saving decision (ii) asset choice or portfolio ... -
Behavioral Biases Of Finance Professionals: Turkish Evidence
(Elsevier Science Bv, 2016)This study extends the existing literature on the determinants of behavioral biases of Turkish finance sector professionals. It examines the impact of various personal and objective attributes of finance sector professionals ...