BibTex RIS Kaynak Göster

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Yıl 2012, Cilt: 32 Sayı: 1, 155 - 164, 18.03.2015

Öz

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Kaynakça

  • ABU-BADER, Suleiman ve AAMER, S. Abu-Qarn “Financial Development and Economic Growth: Empirical Evidence from Six MENA Countries” Review of Development Economics, Vol.12, No.4, 2008, s.803-817.
  • BALTAGI, Badi H. Econometric Analysis of Panel Data, Third Edition. John Wiley & Sons Ltd, England, 2005.
  • BENCIVENGA, Valerie R. ve SMITH, Bruce D. “Financial Intermediation and Endogenous Growth” The Review of Economic Studies, Vol.58, No.2, 1991, s.195-209.
  • CALDERON, Cesar ve LIU, Lin “The Direction of Causality between Financial Development and Economic Growth” Journal of Development Economics, Vol.72, No.1, 2003, s.321-334.
  • CAPORALE, Guglielmo M., RAULT, Christophe, SOVA, Robert ve SOVA, Anamaria “Financial Development and Economic Growth: Evidence from Ten New EU Members” Discussion Papers of DIW Berlin, No.940, 2009.
  • CAPORALE, Guglielmo M. ve SPAGNOLO, Nicola “Stock Market and Economic Growth: Evidence from Three CEECs” Brunel University London Department of Economics and Finance Working Paper, No.11-16, 2011.
  • CAPASSO, Salvatore “Financial Markets Developments and Economic Growth: Tales of Informational Asymmetries” Journal of Economic Surveys, Vol.18, No.3, 2004, s.267-292.
  • GERTLER, Mark “Financial Structure and Aggregate Economic Activity: An Overview” Journal of Money, Credit and Banking, Vol.20, No.3, 1988, s.559-588.
  • GREENWOOD, Jeremy ve JOVANOVIC, Boyan “Financial Development, Growth, and the Distribution of Income” The Journal of Political Economy, Vol.98, No.5, 1990, s.1076-1107.
  • HASSAN, M. Kabir, SANCHEZ, Benito ve YU, Jung-Suk “Financial Development and Economic Growth: New Evidence from Panel Data” The Quarterly Review of Economics and Finance, Vol.51, 2011, s.88-104.
  • HOLTZ-EAKIN, Douglas, NEWEY, Whitney ve ROSEN, Harvey S. “Estimating Vector Autoregressions with Panel Data” Econometrica, Vol.56, No.6, 1988, s.1371-1395.
  • IM, Kyung So, PESARAN, M. Hashem ve SHIN, Yongcheol “Testing for Unit Roots in Heterogeneous Panels” Journal of Econometrics, Vol.115, No.1, 2003, s.53-74.
  • JUNG, Woo S. “Financial Development and Economic Growth: International Evidence” Economic Development and Cultural Change, Vol.34, No.2, 1986, s.333-346.
  • LEVINE, Ross “Financial Development and Economic Growth: Views and Agenda” Journal of Economic Literature, Vol.35, 1997, s.688-726.
  • LEVINE, Ross “Law, Finance, and Economic Growth” Journal of Financial Intermediation, Vol.8, No.1-2, 1999, s.8-35.
  • LEVIN, Andrew, LIN, Chien-Fu ve CHU, Chia-Shang “Unit Root Tests in Panel Data: Asymptotic and Finite-Sample Properties”, Journal of Econometrics, Vol.108, No.1, 2002, s.1-24.
  • MISHKIN, Fredric S. Para, BankacÕlÕk ve Finansal Piyasalar øktisadÕ, 8. BaskÕdan Çeviri, Ankara, Akademi YayÕncÕlÕk, 2011.
  • ONO, Shigeki “Financial Development and Economic Growth: Evidence from Russia” Europe-Asia Studies, Vol.64, No.2, 2012, s.247-256.
  • OSINSKI, Dmitry “The Relationship between Financial Development and Economic Growth in Transition Economies” http://www.kse.org.ua/ uploads/file/library/2000/Asinski.pdf, Eriúim Tarihi (13.01.2012), 2000.
  • PATRICK, Hugh T. “Financial Development and Economic Growth in Underdeveloped Countries” Economic Development and Cultural Change, Vol.14, No.2, 1966, s.174-189.
  • PEDRONI, Peter “Critical Values for Cointegration Tests in Heterogeneous Panels with Multiple Regressors” Oxford Bulletin of Economics and Statistics, Vol.61, 1999, s.653-670.
  • PEDRONI, Peter “Panel Cointegration; Asymptotic and Finite Sample Properties of Pooled Time Series Tests with an Application to the PPP Hypothesis” Econometric Theory, Vol.20, No.3, 2004, s.597-625.

GEÇİŞ EKONOMİLERİNDE FİNANSAL GELİŞME VE EKONOMİK BÜYÜME İLİŞKİSİ

Yıl 2012, Cilt: 32 Sayı: 1, 155 - 164, 18.03.2015

Öz

Bu çalışmada 20 geçiş ekonomisine ait veri, panel eşbütünleşme ve panel nedensellik analizleri kullanılarak finansal gelişme ve ekonomik büyüme ilişkisi incelenmiştir. Çalışmada finansal gelişmişlik düzeyi göstergesi olarak bankacılık kesimi kredilerinin GSYİH oranı kullanılmıştır. Ekonomik büyüme göstergesi is reel GSYİH artışıdır. Finansal gelişme ve ekonomik büyüme arasındaki ilişki, nedenselliğin yönüne göre talep takipli ve arz öncüllü hipotezler şeklinde ifade edilmektedir. Panel eşbütünleşme sonuçları finansal gelişme ve ekonomik büyüme değişkenlerinin uzun dönem ilişkisine sahip olduklarını gösterir. Nedensellik analizi ise, finansal gelişmeden ekonomik büyümeye doğru tek yönlü nedensellik ilişkisinin olduğu yönünde bulgular sunmakta ve geçiş ekonomileri için arz öncüllü hipotezi desteklemektedir

Kaynakça

  • ABU-BADER, Suleiman ve AAMER, S. Abu-Qarn “Financial Development and Economic Growth: Empirical Evidence from Six MENA Countries” Review of Development Economics, Vol.12, No.4, 2008, s.803-817.
  • BALTAGI, Badi H. Econometric Analysis of Panel Data, Third Edition. John Wiley & Sons Ltd, England, 2005.
  • BENCIVENGA, Valerie R. ve SMITH, Bruce D. “Financial Intermediation and Endogenous Growth” The Review of Economic Studies, Vol.58, No.2, 1991, s.195-209.
  • CALDERON, Cesar ve LIU, Lin “The Direction of Causality between Financial Development and Economic Growth” Journal of Development Economics, Vol.72, No.1, 2003, s.321-334.
  • CAPORALE, Guglielmo M., RAULT, Christophe, SOVA, Robert ve SOVA, Anamaria “Financial Development and Economic Growth: Evidence from Ten New EU Members” Discussion Papers of DIW Berlin, No.940, 2009.
  • CAPORALE, Guglielmo M. ve SPAGNOLO, Nicola “Stock Market and Economic Growth: Evidence from Three CEECs” Brunel University London Department of Economics and Finance Working Paper, No.11-16, 2011.
  • CAPASSO, Salvatore “Financial Markets Developments and Economic Growth: Tales of Informational Asymmetries” Journal of Economic Surveys, Vol.18, No.3, 2004, s.267-292.
  • GERTLER, Mark “Financial Structure and Aggregate Economic Activity: An Overview” Journal of Money, Credit and Banking, Vol.20, No.3, 1988, s.559-588.
  • GREENWOOD, Jeremy ve JOVANOVIC, Boyan “Financial Development, Growth, and the Distribution of Income” The Journal of Political Economy, Vol.98, No.5, 1990, s.1076-1107.
  • HASSAN, M. Kabir, SANCHEZ, Benito ve YU, Jung-Suk “Financial Development and Economic Growth: New Evidence from Panel Data” The Quarterly Review of Economics and Finance, Vol.51, 2011, s.88-104.
  • HOLTZ-EAKIN, Douglas, NEWEY, Whitney ve ROSEN, Harvey S. “Estimating Vector Autoregressions with Panel Data” Econometrica, Vol.56, No.6, 1988, s.1371-1395.
  • IM, Kyung So, PESARAN, M. Hashem ve SHIN, Yongcheol “Testing for Unit Roots in Heterogeneous Panels” Journal of Econometrics, Vol.115, No.1, 2003, s.53-74.
  • JUNG, Woo S. “Financial Development and Economic Growth: International Evidence” Economic Development and Cultural Change, Vol.34, No.2, 1986, s.333-346.
  • LEVINE, Ross “Financial Development and Economic Growth: Views and Agenda” Journal of Economic Literature, Vol.35, 1997, s.688-726.
  • LEVINE, Ross “Law, Finance, and Economic Growth” Journal of Financial Intermediation, Vol.8, No.1-2, 1999, s.8-35.
  • LEVIN, Andrew, LIN, Chien-Fu ve CHU, Chia-Shang “Unit Root Tests in Panel Data: Asymptotic and Finite-Sample Properties”, Journal of Econometrics, Vol.108, No.1, 2002, s.1-24.
  • MISHKIN, Fredric S. Para, BankacÕlÕk ve Finansal Piyasalar øktisadÕ, 8. BaskÕdan Çeviri, Ankara, Akademi YayÕncÕlÕk, 2011.
  • ONO, Shigeki “Financial Development and Economic Growth: Evidence from Russia” Europe-Asia Studies, Vol.64, No.2, 2012, s.247-256.
  • OSINSKI, Dmitry “The Relationship between Financial Development and Economic Growth in Transition Economies” http://www.kse.org.ua/ uploads/file/library/2000/Asinski.pdf, Eriúim Tarihi (13.01.2012), 2000.
  • PATRICK, Hugh T. “Financial Development and Economic Growth in Underdeveloped Countries” Economic Development and Cultural Change, Vol.14, No.2, 1966, s.174-189.
  • PEDRONI, Peter “Critical Values for Cointegration Tests in Heterogeneous Panels with Multiple Regressors” Oxford Bulletin of Economics and Statistics, Vol.61, 1999, s.653-670.
  • PEDRONI, Peter “Panel Cointegration; Asymptotic and Finite Sample Properties of Pooled Time Series Tests with an Application to the PPP Hypothesis” Econometric Theory, Vol.20, No.3, 2004, s.597-625.
Toplam 22 adet kaynakça vardır.

Ayrıntılar

Birincil Dil Türkçe
Bölüm Makaleler
Yazarlar

Seymur Ağayev

Yayımlanma Tarihi 18 Mart 2015
Gönderilme Tarihi 18 Mart 2015
Yayımlandığı Sayı Yıl 2012 Cilt: 32 Sayı: 1

Kaynak Göster

APA Ağayev, S. (2015). GEÇİŞ EKONOMİLERİNDE FİNANSAL GELİŞME VE EKONOMİK BÜYÜME İLİŞKİSİ. Marmara Üniversitesi İktisadi Ve İdari Bilimler Dergisi, 32(1), 155-164.
AMA Ağayev S. GEÇİŞ EKONOMİLERİNDE FİNANSAL GELİŞME VE EKONOMİK BÜYÜME İLİŞKİSİ. Marmara Üniversitesi İktisadi ve İdari Bilimler Dergisi. Mart 2015;32(1):155-164.
Chicago Ağayev, Seymur. “GEÇİŞ EKONOMİLERİNDE FİNANSAL GELİŞME VE EKONOMİK BÜYÜME İLİŞKİSİ”. Marmara Üniversitesi İktisadi Ve İdari Bilimler Dergisi 32, sy. 1 (Mart 2015): 155-64.
EndNote Ağayev S (01 Mart 2015) GEÇİŞ EKONOMİLERİNDE FİNANSAL GELİŞME VE EKONOMİK BÜYÜME İLİŞKİSİ. Marmara Üniversitesi İktisadi ve İdari Bilimler Dergisi 32 1 155–164.
IEEE S. Ağayev, “GEÇİŞ EKONOMİLERİNDE FİNANSAL GELİŞME VE EKONOMİK BÜYÜME İLİŞKİSİ”, Marmara Üniversitesi İktisadi ve İdari Bilimler Dergisi, c. 32, sy. 1, ss. 155–164, 2015.
ISNAD Ağayev, Seymur. “GEÇİŞ EKONOMİLERİNDE FİNANSAL GELİŞME VE EKONOMİK BÜYÜME İLİŞKİSİ”. Marmara Üniversitesi İktisadi ve İdari Bilimler Dergisi 32/1 (Mart 2015), 155-164.
JAMA Ağayev S. GEÇİŞ EKONOMİLERİNDE FİNANSAL GELİŞME VE EKONOMİK BÜYÜME İLİŞKİSİ. Marmara Üniversitesi İktisadi ve İdari Bilimler Dergisi. 2015;32:155–164.
MLA Ağayev, Seymur. “GEÇİŞ EKONOMİLERİNDE FİNANSAL GELİŞME VE EKONOMİK BÜYÜME İLİŞKİSİ”. Marmara Üniversitesi İktisadi Ve İdari Bilimler Dergisi, c. 32, sy. 1, 2015, ss. 155-64.
Vancouver Ağayev S. GEÇİŞ EKONOMİLERİNDE FİNANSAL GELİŞME VE EKONOMİK BÜYÜME İLİŞKİSİ. Marmara Üniversitesi İktisadi ve İdari Bilimler Dergisi. 2015;32(1):155-64.