The relationship between financial risksituations and market values of multinationalenterprisess: an application on transformation,storage, communication sectors in Turkey
Künye
Uysal, M. & Adalı, Z. (2020). The Relationship Between Fınancıal Risksıtuatıons And Market Values Of Multinationalenterprisess: An Application On Transformation,Storage, Communication Sectors In Turkey. In: Berberoğlu, M, (ed.) Financial and Managerial Issues in Multinational Enterprises. Gazi Kitabevi.Özet
Investors and the financial institutions aim at maximizing their wealth along with exposing minimum risk in the investment decisions. There are various financial vehicles in the financial markets, and globalization leads to the expansion of the investment products. However, the stock market is stili the dominant area in terms of the investment environment, and it plays a vital role in the portfolio diversifications. As a matter of fact, the globalization induces various trade and financial limitations to annihilate in which each country's stock markets become a multinational platform. Along with the financial market integration in the world, the stock market in Turkey has also experienced the same events, becoming the global investment area. The stock market in Turkey has received significant attention from domestic and foreign investors. Within this scope, the stock market plays an increasingly significant role in Turkey because the stock market functions, involving facilitating the mobilization funds, providing substantial liquidity, and inducing the expansion of large-scale enterprises,become more effective because of the multinational and domestic participation rate in the stock investment.