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Toplam kayıt 62, listelenen: 1-10
Preface
(Springer, 2018)
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Türk sermaye piyasasında kuşaklar arasında yatırımcı ve portföy farklılıkları
(İstanbul Üniversitesi Yayınevi, 2018)
Kuşaklar arasındaki farklılıklar ekonomik ve sosyal açıdan bireylerin davranışlarında değişikliklere sebep olabilmektedir. Kuşakların zaman içerisinde farklılaşan özellikleri finansal bir yatırımdan beklentilerini, bu ...
Determinants of profitability in the banking sector: An analysis of post-Soviet countries
(MDPI, 2018)
The purpose of this paper is to identify the determinants of bank profitability in 13 post-Soviet countries. Within this scope, annual data between 1996 and 2016 is analyzed by using fixed effects panel regression and the ...
Evaluation of financial and economic effects on green supply chain management with multi-criteria decision- making approach: Evidence from companies listed in BIST
(IGI Global, 2018)
This chapter aims to analyze the financial and economic effects on green supply chain management of the food and beverages industry. For the research purpose, the fuzzy DEMATEL and fuzzy MOORA methods are used for the ...
Relationship between non- performing loans, industry, and economic growth of the african economies and policy recommendations for global growth
(IGI Global, 2018)
The main purpose of this chapter is to evaluate the causality relationship between non-performing loans, industry volume, and economic growth and to provide some policy recommendations for global growth. Within this context, ...
Challenges of Turkish family businesses related to effective management strategies
(Palgrave Macmillan, 2018)
Interest in family businesses has recently been on the rise in Turkey. The main reason for this is that family firms dominate business life and make a big contribution to job creation and exports. However, running a family ...
A strategic approach to global financial crisis in banking sector: A critical appraisal of banking strategies using fuzzy ANP and fuzzy topsis methods
(IGI Global, 2018)
Financial crisis affected many people and companies in the world negatively in terms of job loss and bankruptcy. Owing to this aspect, today many banks developed strategies in order to minimize the effects of any potential ...
Investigating the economic vulnerability factors of emerging markets after the global financial crisis of 2008 with a hybrid multi-criteria decision-making approach
(IGI Global, 2018)
The latest global financial crisis and its effects on emerging economies engaged researchers' attention to the relationship between economic vulnerability factors and financial crisis. Especially, infrastructure and ...
On the path to high-income status or to middle-income trap: The Turkish economy in search of its future
(Palgrave Macmillan, 2018)
The growth episode of the Turkish economy in the 2000s was written based on two integrated fundamentals: fixing the deteriorating dynamics and implementing further reforms to stimulate economic activity. This basic formula ...
Beyond planning and liberalization: Foreign trade and industrial development in Turkey
(Palgrave Macmillan, 2018)
After a brief open-economy experience during the 1920s, the Turkish economy could be regarded as state-controlled, planned, and partially closed for the following half a century. Trade, meanwhile, played a limited role ...