Araştırma Makalesi

Analyzing The Effect of Monetary Policies and Financial Stability Measures Across Global Markets amid Covid-19 Pandemics

Cilt: 7 Sayı: 2 20 Aralık 2024
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Analyzing The Effect of Monetary Policies and Financial Stability Measures Across Global Markets amid Covid-19 Pandemics

Öz

This study investigates causal relationships among financial stability measures and monetary policies implemented in US, EU and Turkey. Selected variables from stock markets, money markets, and bond markets are tested. The set of macrofinancial process covers S&P500 stock market, BIST-100 stock market; Volatility index; German, US and Turkey 10-year treasury bond interest data, European Union 27 average CPI, US CPI, Turkey CPI, ECB policy rate, FED policy rate, CBRT policy rate data. The Granger causality analysis is applied for first; each dataset of US, EU and the Turkish economy, separately. Second, mutual impact of stock markets, money markets and bond markets are examined. Finally CBOE Volatility index (VIX) is taken into account. It is aimed to observe spillover effects from developed economies to emerging markets amid pandemics. The dataset covers the monthly period of 2019M1 to 2023M6.

Anahtar Kelimeler

Kaynakça

  1. Akbakay, Z. (2018). Avrupa Merkez Bankasının Para Politikası: Fiyat İstikrarının Niceliksel Tanımı ve İki Sütunlu Analiz Yaklaşımı, Balkan Journal of Social Sciences, 14, 1-13.
  2. Aytekin İ. and Uçan O. (2022). Döviz Kuru Enflasyon ve Dış Ticaret Arasındaki İlişkinin Ekonometrik bir Analizi:Türkiye Örneği, Academic Review of Economics and Administrative Sciences, 460–475.
  3. Aytüre S. and Keskin M. (2024). The Relationship between the Istanbul Stock Market and Türkiye’s Foreign Trade, BMIJ Journal, 12 (2), 345-355. Doi:10.15295.
  4. Baek S., Mohanty S.K. and Glambosky M. (2020). Covid-19 and Stock Market Volatility: An Industry Level Analysis. Finance Research Letters, 1-10.
  5. Baker, S.R. et.al. (2020). The Unprecedented Stock Market Impact of Covid-19, NBER Working Paper Series. Working Paper 26945, 1-22.
  6. Bernanke, B. S. and Kuttner, K. N. (2005). What Explains the Stock Market’s Reaction to Federal Reserve Policy?. The Journal of Finance, 60 (3), 1057- 1592.
  7. Coşkuner M. and Özer A. (2024). Döviz Kuru ve Enflasyonun Hisse Senedi Getirisi Üzerindeki Etkisi- Balıkesir Üniversitesi İktisadi ve İdari Bilimler Fakültesi Dergisi, 5(1), 15-24
  8. Dickey, D. A. and Fuller, W. A. (1979). Distribution of Estimators for Autoregressive Time Series with a Unit Root. Journal of the American Statistical Association, 427-431.

Ayrıntılar

Birincil Dil

İngilizce

Konular

Finansal Ekonomi

Bölüm

Araştırma Makalesi

Yayımlanma Tarihi

20 Aralık 2024

Gönderilme Tarihi

1 Ağustos 2024

Kabul Tarihi

10 Aralık 2024

Yayımlandığı Sayı

Yıl 2024 Cilt: 7 Sayı: 2

Kaynak Göster

APA
Özkaya, R. (2024). Analyzing The Effect of Monetary Policies and Financial Stability Measures Across Global Markets amid Covid-19 Pandemics. Haliç Üniversitesi Sosyal Bilimler Dergisi, 7(2), 111-141. https://doi.org/10.56206/husbd.1525892
AMA
1.Özkaya R. Analyzing The Effect of Monetary Policies and Financial Stability Measures Across Global Markets amid Covid-19 Pandemics. Sosyal ve Beşeri Bilimler, Konservatuvar. 2024;7(2):111-141. doi:10.56206/husbd.1525892
Chicago
Özkaya, Rabia. 2024. “Analyzing The Effect of Monetary Policies and Financial Stability Measures Across Global Markets amid Covid-19 Pandemics”. Haliç Üniversitesi Sosyal Bilimler Dergisi 7 (2): 111-41. https://doi.org/10.56206/husbd.1525892.
EndNote
Özkaya R (01 Aralık 2024) Analyzing The Effect of Monetary Policies and Financial Stability Measures Across Global Markets amid Covid-19 Pandemics. Haliç Üniversitesi Sosyal Bilimler Dergisi 7 2 111–141.
IEEE
[1]R. Özkaya, “Analyzing The Effect of Monetary Policies and Financial Stability Measures Across Global Markets amid Covid-19 Pandemics”, Sosyal ve Beşeri Bilimler, Konservatuvar, c. 7, sy 2, ss. 111–141, Ara. 2024, doi: 10.56206/husbd.1525892.
ISNAD
Özkaya, Rabia. “Analyzing The Effect of Monetary Policies and Financial Stability Measures Across Global Markets amid Covid-19 Pandemics”. Haliç Üniversitesi Sosyal Bilimler Dergisi 7/2 (01 Aralık 2024): 111-141. https://doi.org/10.56206/husbd.1525892.
JAMA
1.Özkaya R. Analyzing The Effect of Monetary Policies and Financial Stability Measures Across Global Markets amid Covid-19 Pandemics. Sosyal ve Beşeri Bilimler, Konservatuvar. 2024;7:111–141.
MLA
Özkaya, Rabia. “Analyzing The Effect of Monetary Policies and Financial Stability Measures Across Global Markets amid Covid-19 Pandemics”. Haliç Üniversitesi Sosyal Bilimler Dergisi, c. 7, sy 2, Aralık 2024, ss. 111-4, doi:10.56206/husbd.1525892.
Vancouver
1.Rabia Özkaya. Analyzing The Effect of Monetary Policies and Financial Stability Measures Across Global Markets amid Covid-19 Pandemics. Sosyal ve Beşeri Bilimler, Konservatuvar. 01 Aralık 2024;7(2):111-4. doi:10.56206/husbd.1525892