Araştırma Makalesi

DÖVİZ KURU RİSKİ VE TÜRKİYE EKONOMİSİ AÇISINDAN DEĞERLENDİRMESİ

Cilt: 6 Sayı: 1 31 Ocak 2019
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EXCHANGE RATE RISK AND AN EVALUATION IN TERMS OF TURKEY ECONOMY

Abstract

Together with the globalization, the importanceof exchange rate, which is one of the main determinants of economic relationships in the countries, increased. Especially after the collapse of Bretton Woods system, the markets became free and the countries got closer to each other. Since the instability in any of the trading countries will affect the other countries negatively, the uncertainty of exchange rates is very important. The companies aiming to determine the strategies to be used in exchange rate risk and to eliminate or minimize the exchange rate risk have to manage this situation in the best way. From the aspect of companies, measuring and accurately managing the exchange rate risk is very important for determining the weaknesses of companies and (generally) countries and eliminating them. The objective of this study is to assess the exchange rate risk for Turkey and to determine the measures to be taken against the exchange rate risk.

Keywords

Kaynakça

  1. ACARAVCI, A., ÖZTÜRK, İ., (2002), “Döviz Kurundaki Değişkenliğin Türkiye İhracatı Üzerine Etkisi: Amprik Bir Çalışma’’, Review of Social, Economic & Business Studies.
  2. ALACAHAN, N., AKARSU, Y. (2017), “Türkiye Dış Ticaretinde Döviz Kuru Belirsizliği’’, Journal Of Awareness, 2(3), 331-348,
  3. AVDJIEV, S., BRUNO, V., KOCH C., and SHIN, H. S., (2018), “The Dollar Exchange Rate As A Global Risk Factor: Evidence From İn Vest Ment’’, BIS Working Papers , Monetary and Economic Department , 1-43.
  4. BALICILAR, M., BAL, H., ALGAN, N., DEMİRAL, M., (2014), “Türkiye’nin İhracat Performansı: İhracat Hacminin Temel Belirleyicilerinin İncelenmesi (1995-2012)’’, Ege Akademi Bakış Dergisi, İzmir.
  5. BERUMENT, H., DİNÇER, N., (2004), “The Effects of Exchange Rate Risk on Economic Performance: The Turkish Experience’’, Applied Economics, 36, 2429–2441.
  6. BOFINGER P., WOLLMERSHÄUSER, T., (2001), “Managed Floating: Understanding The New International Monetary Order’’, Würzburg Economic Papers, 1-78.
  7. ÇİFTÇİ, F., YILDIZ, R., (2013), “Dış Ticarette Kur Riski Yönetimi: Temsili Bir Türk Dış Ticaret Firması İçin Uygulama Örnekleri’’ Finansal Araştırmalar ve Çalışmalar Dergisi, 5 (9), 93-112.
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Ayrıntılar

Birincil Dil

Türkçe

Konular

-

Bölüm

Araştırma Makalesi

Yayımlanma Tarihi

31 Ocak 2019

Gönderilme Tarihi

8 Ocak 2019

Kabul Tarihi

28 Ocak 2019

Yayımlandığı Sayı

Yıl 1970 Cilt: 6 Sayı: 1

Kaynak Göster

APA
Akarsu, Y., & Dilbaz Alacahan, N. (2019). DÖVİZ KURU RİSKİ VE TÜRKİYE EKONOMİSİ AÇISINDAN DEĞERLENDİRMESİ. Journal of Life Economics, 6(1), 79-90. https://doi.org/10.15637/jlecon.6.006