Macroeconomic determinants of the Stock Prices in Turkey: an application of the fourier cointegration analysis

dc.authorid0000-0001-8453-9940en_US
dc.contributor.authorBari, Bilgin
dc.contributor.authorAdalı, Zafer
dc.date.accessioned2023-03-10T11:02:31Z
dc.date.available2023-03-10T11:02:31Z
dc.date.issued2020
dc.departmentAÇÜ, Hopa İktisadi ve İdari Bilimler Fakültesi, İktisat Bölümüen_US
dc.description.abstractStock markets perform a vital function in emerging countries because long term capital is availed by funds from different investors who expand their business in host countries. This process is beneficial for both sides because investors put their surplus funds to achieve high profit. Furthermore, this proper transaction can reverse. In order to sustain good investment, the investors properly conceive the performance of the stock market, which is pretty associated with the country’s economic, political, and firms’ situations. The changes in macroeconomic variables are the most consistent factors because macroeconomic situations are seen as starting points in which other factors are tightly related.
dc.identifier.citationBari, B. & Adalı, Z. (2021). Macroeconomic Determinants of the Stock Prices in Turkey: An Application of the Fourier Cointegration Analysis. In: Current Researches in Money and Capital Markets. Gazi, p. 207-238.en_US
dc.identifier.endpage238en_US
dc.identifier.startpage207en_US
dc.identifier.urihttps://hdl.handle.net/11494/4819
dc.institutionauthorAdalı, Zafer
dc.language.isoenen_US
dc.publisherGazi Kitabevien_US
dc.relation.ispartofCurrent researches in money and capital markets
dc.relation.publicationcategoryKitap Bölümü - Uluslararasıen_US
dc.rightsinfo:eu-repo/semantics/closedAccessen_US
dc.titleMacroeconomic determinants of the Stock Prices in Turkey: an application of the fourier cointegration analysisen_US
dc.typeBook Part

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