TÜRKİYE’NİN FİNANSAL RİSK HARİTASI

Volume: 16 Number: 31 June 1, 2016
  • Mikail Altan
  • Gamze Şekeroğlu
  • Nebi Salih Karahan
EN TR

Abstract

Financial risk includes all risks related to money. Financial risk which is very important for countries have some elements; low GNP, fluctuating exchange rate, high debt ratio, high unemployment ratio, high inflation ratio and high non-performing loan ratio. It is intended to form of Turkey’s financial risk map by using these elements. For this purpose, unemployment ratios, inflation ratios and non-performing loan ratios which are published between 2008 and 2014 by uninterruptedly are included in analysis. Data used in analysis arecollected as separately for 26 regions on NUTS-2(Nomenclature of Units for Territorial Statistics). Each of regionsisto group both separately for all years and according to the highest, lowest, the mean and standard deviation values in average of seven years as high, medium and low risk. Consequently, Turkey’s financial risk map is created by taking into consideration of all data andidentifying Turkey’s high, medium and low risk regions.

Keywords

Details

Primary Language

Turkish

Subjects

-

Journal Section

-

Authors

Mikail Altan This is me

Gamze Şekeroğlu This is me

Nebi Salih Karahan This is me

Publication Date

June 1, 2016

Submission Date

June 1, 2016

Acceptance Date

-

Published in Issue

Year 2016 Volume: 16 Number: 31

APA
Altan, M., Şekeroğlu, G., & Karahan, N. S. (2016). TÜRKİYE’NİN FİNANSAL RİSK HARİTASI. Sosyal Ekonomik Araştırmalar Dergisi, 16(31), 203-224. https://doi.org/10.30976/susead.302165
AMA
1.Altan M, Şekeroğlu G, Karahan NS. TÜRKİYE’NİN FİNANSAL RİSK HARİTASI. SUSEAD. 2016;16(31):203-224. doi:10.30976/susead.302165
Chicago
Altan, Mikail, Gamze Şekeroğlu, and Nebi Salih Karahan. 2016. “TÜRKİYE’NİN FİNANSAL RİSK HARİTASI”. Sosyal Ekonomik Araştırmalar Dergisi 16 (31): 203-24. https://doi.org/10.30976/susead.302165.
EndNote
Altan M, Şekeroğlu G, Karahan NS (June 1, 2016) TÜRKİYE’NİN FİNANSAL RİSK HARİTASI. Sosyal Ekonomik Araştırmalar Dergisi 16 31 203–224.
IEEE
[1]M. Altan, G. Şekeroğlu, and N. S. Karahan, “TÜRKİYE’NİN FİNANSAL RİSK HARİTASI”, SUSEAD, vol. 16, no. 31, pp. 203–224, June 2016, doi: 10.30976/susead.302165.
ISNAD
Altan, Mikail - Şekeroğlu, Gamze - Karahan, Nebi Salih. “TÜRKİYE’NİN FİNANSAL RİSK HARİTASI”. Sosyal Ekonomik Araştırmalar Dergisi 16/31 (June 1, 2016): 203-224. https://doi.org/10.30976/susead.302165.
JAMA
1.Altan M, Şekeroğlu G, Karahan NS. TÜRKİYE’NİN FİNANSAL RİSK HARİTASI. SUSEAD. 2016;16:203–224.
MLA
Altan, Mikail, et al. “TÜRKİYE’NİN FİNANSAL RİSK HARİTASI”. Sosyal Ekonomik Araştırmalar Dergisi, vol. 16, no. 31, June 2016, pp. 203-24, doi:10.30976/susead.302165.
Vancouver
1.Mikail Altan, Gamze Şekeroğlu, Nebi Salih Karahan. TÜRKİYE’NİN FİNANSAL RİSK HARİTASI. SUSEAD. 2016 Jun. 1;16(31):203-24. doi:10.30976/susead.302165

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