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Global Approaches in Financial Economics, Banking, and Finance

Edited by Hasan Dincer (), Ümit Hacioglu () and Serhat Yüksel ()

in Contributions to Economics from Springer, currently edited by Johannes Glaeser

Date: 2018
ISBN: 978-3-319-78494-6
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Chapters in this book:

Ch Chapter 1 Regional or Local Damage? Contagion Effects of Greek Debt Crisis Revisited
Melik Kamışlı, Serap Kamışlı and Fatih Temizel
Ch Chapter 10 Assessing the Twin and Triple Deficit Hypotheses in Developing Economies: A Panel Causality Analysis
Arzu Tay Bayramoğlu and Zafer Öztürk
Ch Chapter 11 Stability Analysis of Some Dynamic Economic Systems Modeled by State-Dependent Delay Differential Equations
Sertaç Erman
Ch Chapter 12 Troubled Credits Selling of State Banks to Asset Management Companies in Turkey
Mustafa Kartal
Ch Chapter 13 Economic Contributions of the Ottoman Bank in the Ottoman Empire and the Turkish Republic
Seçil Şenel
Ch Chapter 14 Bankruptcy: An Examination of Different Approaches
Fatih Yigit
Ch Chapter 15 Behavioral Finance Models, Anomalies, and Factors Affecting Investor Psychology
İstemi Çömlekçi and Ali Özer
Ch Chapter 16 Global Macroeconomic Determinants of the Domestic Commodity Derivatives
Cagatay Basarir and Mehmet Fatih Bayramoglu
Ch Chapter 17 Evaluation of Elderly Financial Stability: Evidence from European Countries
Marta Borda and Patrycja Kowalczyk-Rólczyńska
Ch Chapter 18 An Overview of Measuring and Reporting Intellectual Capital
Buket Atalay, Soner Gokten and Medine Turkcan
Ch Chapter 19 The Financial Analysis of the Ottoman Cash Waqfs
Çiğdem Gürsoy
Ch Chapter 2 A Hardheaded Look: How Did India Feel the Tremors of Recent Financial Crises?
Sovik Mukherjee and Asim K. Karmakar
Ch Chapter 20 Performances of Emerging Stock Exchanges During the Fed’s Tapering Announcements
Onur Enginar, Mehmet Baha Karan and Göknur Büyükkara
Ch Chapter 21 Determining the Priorities of CAMELS Dimensions Based on Bank Performance
Mehmet Pekkaya and Figen Erol Demir
Ch Chapter 22 What Are Relations Between the Domestic Macroeconomic Variables and the Convertible Exchange Rates?
Cem Kartal and Mehmet Fatih Bayramoglu
Ch Chapter 3 The Extreme Value Forecasting in Dynamics Situations for Reducing of Economic Crisis: Cases from Thailand, Malaysia, and Singapore
Chukiat Chaiboonsri and Satawat Wannapan
Ch Chapter 4 External Borrowing Issue in Ottoman Empire (1854–1876 Term)
Kenan Demir
Ch Chapter 5 Rethinking the Schumpeterian Revolution: The Linkage Between Financial Development, Technology, and Economic Growth
Gönül Yüce Akıncı
Ch Chapter 6 Defense Expenditures and Economic Growth Relationship: A Panel Data Approach for NATO
Güldenur Çetin, Hasan Hüseyin Yıldırım, Ayben Koy and Cihat Köksal
Ch Chapter 7 Grouping OECD Countries Based on Energy-Related Variables Using k-Means and Fuzzy Clustering
Abdulkadir Hiziroglu, Ayhan Kapusuzoglu and Erhan Cankal
Ch Chapter 8 The Determinants of Total Factor Productivity in European Union
Murat Akkaya and Deniz Güvercin
Ch Chapter 9 The Role of Religion on Tax Revenue: A Global Religious Perspective
Gökhan Dökmen

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Persistent link: https://EconPapers.repec.org/RePEc:spr:coneco:978-3-319-78494-6

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DOI: 10.1007/978-3-319-78494-6

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