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GLOBAL KRİZ SONRASI TÜRKİYE’DE EKONOMİK RİSK FAKTÖRLERİ1

Year 2017, Volume: 2 Issue: 1, 31 - 47, 01.07.2017

Abstract

Dünya ekonomisinde yaşanan krizler göstermektedir ki her krizin kendine özgü nedenleri ve etkileri vardır. En son Amerika Birleşik Devletleri’nden başlayarak Avrupa ve diğer ülkelere yayılan 2008 global krizinin sonuçları gelişmiş ve gelişmekte olan ülkeleri etkilemeye devam etmektedir. 2017 yılına gelindiğinde Dünya ekonomisinin lokomotifi sayılan Çin ekonomisi yavaşlamakta, Avrupa Birliği Brexit sürecinin yanında yüksek borçluluk oranları ve göçmen krizi ile boğuşmaktadır. Amerika Birleşik Devletleri’nde Donald Trump başkan olarak seçilmesiyle birlikte Kuzey Amerika Serbest Ticaret Anlaşması'nı (NAFTA) yeniden müzakereye açacağını, Asya-Pasifik Bölgesi'nde toplam 12 ülkeyi kapsayan Trans-Pasifik Ortaklığı (TPP) ticaret anlaşmasından ise ülkesini çektiğini duyurmuştur. Bu çalışmada gelişmiş ve gelişmekte olan ülkelerdeki genel ekonomik gidişat finansal kriz açısından izlenirken, Türkiye’nin önümüzdeki dönemde karşılaşabileceği risk faktörleri araştırılacaktır

ECONOMIC RISK FACTORS IN TURKEY AFTER THE GLOBAL CRISIS

Year 2017, Volume: 2 Issue: 1, 31 - 47, 01.07.2017

Abstract

Crisis in the world economy shows that each crisis has its own causes and effects. The outcome of the 2008 global crisis, which began first in the United States and spread to Europe and other countries, still continues to affect developed and developing countries. In 2017, the Chinese economy is slowing down, the European Union is struggling with high debt rates and the migrant crisis, as well as the Brexit process. In the United States, Donald Trump announced that he would re-negotiate the North American Free Trade Agreement (NAFTA) with his election as president and has withdrawn his country from the Trans-Pacific Partnership (TPP) trade agreement covering 12 countries in the AsiaPacific region. In this study, as the general economic trends in developed and developing countries are followed in terms of financial crisis, the risk factors that Turkey may face in the coming period will be investigated

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Details

Other ID JA38AK33FJ
Journal Section Research Article
Authors

Bige Küçükefe This is me

Publication Date July 1, 2017
Published in Issue Year 2017 Volume: 2 Issue: 1

Cite

APA Küçükefe, B. (2017). ECONOMIC RISK FACTORS IN TURKEY AFTER THE GLOBAL CRISIS. JOEEP: Journal of Emerging Economies and Policy, 2(1), 31-47.

JOEEP is published as two issues per year June and December and all publication policies and processes are conducted according to the international standards. JOEEP accepts and publishes the research articles in the fields of economics, political economy, fiscal economics, applied economics, business economics, labour economics and econometrics. JOEEP, without depending on any institution or organization, is a non-profit journal that has an International Editorial Board specialist on their fields. All “Publication Process” and “Writing Guidelines” are explained in the related title and it is expected from authors to Show a complete match to the rules. JOEEP is an open Access journal.