GELİŞMEKTE OLAN PİYASALARDA FİNANSAL PİYASA İSTİKRARININ KANTİL REGRESYON YÖNTEMİYLE TEST EDİLMESİ
Öz
Anahtar Kelimeler
Kaynakça
- ALLEN, W. A., WOOD, G. (2006). Defining and achieving financial stability. Journal of Financial Stability. (2), 152-172. ss.
- BAUR, G.D., SCHULZE, N. (2009). Financial market stability: a test. Journal of International Financial Markets, Institutions & Money, 19, 506-519. ss.
- CIHAK, M. (2007). Central banks and financial stability : a survey. IMF Working Paper.
- CROCKETT, A. (1997). Why is financial stability a goal of public policy? In: Maintaining Financial Stability in a Global Economy. Federal Reserve Bank of Kansas City, 7–36. ss.
- DAS, S.R., UPPAL, R. (2004). Systemic risk and international portfolio choice. Journal of Finance 59 (6), 2809-2834. ss.
- DUISENBERG, W.F., (2001). The contribution of the euro to financial stability. In: Globalisation of Financial Markets and Financial Stability-Challenges for Europe. Nomos Verlagsgesellschaft, Baden-Baden, 37–51. ss.
- European Central Bank, (2005). Financial Stability Review-June 2005.
- GOODHART, C.A.E. (2006). A framework for assessing financial stability? Journal of Banking and Finance , 30, 3415-3422. ss.
Ayrıntılar
Birincil Dil
Türkçe
Konular
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Bölüm
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Yazarlar
Cüneyt Akar
Bu kişi benim
Yayımlanma Tarihi
1 Ocak 2013
Gönderilme Tarihi
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Kabul Tarihi
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Yayımlandığı Sayı
Yıl 2013 Cilt: 14 Sayı: 1