Bölüm "RTEÜ, İktisadi ve İdari Bilimler Fakültesi, İktisat Bölümü" Scopus İndeksli Yayınlar Koleksiyonu için listeleme
Toplam kayıt 17, listelenen: 1-17
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Arrovian impossibilities in aggregating preferences over non-resolute outcomes
(Springer, 2008)Let A be a set of alternatives whose power set is A. Elements of A are interpreted as non-resolute outcomes. We consider the aggregation of preference profiles over A into a (social) preference over A. In case we allow ... -
Asymmetric effects of the defense burden on environmental degradation: Evidence from NATO countries
(MDPI, 2023)Rapid industrialization tends to occur at the expense of natural resources. Thus, countries are inclined to control natural resources for their development objectives, which may create conflicts when countries allocate ... -
Can social media marketing lead to abnormal portfolio returns?
(Elsevier Sci Ltd, 2019)This study tests the impact of usage of Twitter as a microblogging service provider on shareholders returns and abnormal returns. in accordance with this purpose, two portfolios were created based on measurement of whether ... -
Consumer credit as an aspect of everyday life of workers in developing countries: Evidence from Turkey
(Sage Publications Inc, 2016)This paper addresses the question of how consumer credit has become a part of daily life of wage earners in the age of financialization by drawing on the experience of Turkey. Given the dearth of information in this area, ... -
Cross-country evidence on the link between job security and housing credit
(Springer, 2019)This paper investigates the relationship between job security and housing credit, specifically the contradiction between employment insecurity and take up of housing credit-the former being the main reason for income ... -
Does uncovered interest rate parity hold in Turkey?
(Econjournals, 2012)Most of the earlier empirical studies focusing on developed countries failed to give evidence in favor of the Uncovered Interest Rate Parity (UIP). After intensive financial liberalization processes and mostly preferred ... -
Financialization in Turkey: the case of consumer debt
(Routledge Journals, Taylor & Francis Ltd, 2014)The last decade has witnessed a considerable rise in consumer credit in developing countries. This study offers a political economy approach to an analysis of the rise in consumer debt by drawing on the case of Turkey. It ... -
Global energy transformation and the impacts of systematic energy change policy on climate change mitigation
(MDPI, 2023)This study aims to evaluate the effect of global energy transformation and systematic energy change on climate change. The model is constructed from dynamic panel data which comprises 26 world regions from the World Database ... -
The impact of inflation targeting policy on the inflation uncertainty in Turkey
(Springer, 2013)Turkey represents a potential laboratory experiment in which the performance of an adoption of inflation targeting regime can be studied. Under this perspective, this article tries to evaluate the effect of Inflation ... -
Interlinkages between credit, debt and the labour market: evidence from Turkey
(Oxford Univ Press, 2015)This article examines workers' use of credit in the context of a developing country, Turkey, based on empirical material collected through questionnaires and interviews with workers in the metal sector. the results provide ... -
The military expenditures and economic growth nexus: Panel bootstrap granger causality evidence from NATO countries
(Savez Ekonomista Vojvodine, 2022)The purpose of this study is to examine the causal linkage between military expenditures and economic growth in 27 North Atlantic Treaty Organization (NATO) member countries. Different periods are studied due to the ... -
A panel hidden cointegration analysis on the political stability and tourism receipts
(Taylor & Francis Ltd., 2022)In the present study, the asymmetric relationships between political stability and tourism receipts in 14 MENA countries were investigated using panel data analysis with annual data of the period between 2002 and 2018. For ... -
The portfolios with strong brand value: More returns? Lower risk?
(Elsevier, 2020)This study focuses on the brand value-shareholder return relationship using the approach of Madden et al. (2006) based on Aaker (1991) and compares "Strong Brands Portfolio", created through brand values in "Turkey's Most ... -
The relationship between the happiness index and housing prices in selected EU Economies, Turkey and Russia
(Peter Lang AG, 2021)....... -
The relationship between Turkey's foreign debt and economic growth: an asymmetric causality analysis
(Routledge Journals, Taylor & Francis Ltd, 2019)Tackling foreign debt that arises as a result of limited and ineffective use of resources is an item that remains on the agenda particularly for developing countries. in this study, we examine the foreign debt debates to ... -
The role of sentiment in housing market with credit-led funding: the case of Turkey
(Springer, 2021)This paper investigates the long run relationship among sentiment, which is defined as the aggregate investor attitude, housing credit and prices, and supply in Turkish housing market over the period of 2010:01 and 2018:06. ... -
The uncertainty index and foreign direct real estate investments in developing economies
(Ital Publication, 2021)Attainment of standards in a country’s real estate market to meet international investors’ expectations contributes significantly to the real estate sector. However, in developing economies characterized by an environment ...