TY - JOUR T1 - İktisat Okullarında Piyasa Başarısızlıkları Ve Finansal Kriz Yaklaşımı: Türkiye’de 2001 Finansal Krizi Üzerine Post Keynesyen Bir Analiz TT - Market Failures In Economic Schools and Financial Crisis Approach: A Post Keynesian Analysis On The 2001 Financial Crisis In Turkey AU - Doruk, Ömer Tuğsal PY - 2019 DA - June Y2 - 2018 DO - 10.18506/anemon.462995 JF - Anemon Muş Alparslan Üniversitesi Sosyal Bilimler Dergisi PB - Mus Alparslan University WT - DergiPark SN - 2149-4622 SP - 95 EP - 105 VL - 7 IS - 3 LA - tr AB - Finansalkriz yaklaşımı, makro iktisadi analizde iktisat okulları tarafından farklıvarsayımlara dayanmaktadır. Bu çalışmada finansal kriz yaklaşımı, PostKeynesyen iktisat okulu çerçevesinde Türkiye ekonomisinde yaşanan en ağırfinansal krizlerden birisi olan 2001 finansal krizi açısından karşılaştırmalıolarak incelenmektedir. Genel itibariyle Post Keynesyen iktisat okulununTürkiye ekonomisinde 2001 finansal krizini açıklamada alternatif bir yaklaşımasahip olduğu ve krizin ana nedenlerini daha iyi açıkladığı görülmektedir. KW - Finansal Kriz KW - Piyasa Başarısızlıkları KW - Karşılaştırmalı Finansal Kriz Analizi KW - Türkiye 2001 Finansal Krizi N2 - Financialcrisis approach in the macroeconomic analysis is based on the different assumptionsof economic thought schools. In this paper, the financial crisis approach isinvestigated for the 2001 financial crisis, which is one of the most severefinancial crises the Turkish economy experienced, in the Post Keynesianeconomic thought framework in a comparative way. Generally, the Post Keynesianeconomic thought has a more comprehensive and alternative approach for the 2001financial crisis in the Turkish economy and described the main reasons for thiscrisis in a better way. CR - Allsopp, V. (2002). Trust, Time and Uncertainty. İçinde: S.C. Dow & J. Hillard (Ed.) 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