Global Approaches in Financial Economics, Banking, and Finance
Book information
Description
This volume discusses the impact of Financial Economics, Growth Dynamics, and the Finance & Banking sector in the economies of countries. The contributors analyse and discuss the effects of the recent financial crises on the economic growth and performance in various countries. The volume covers aspects like foreign borrowing, impact on productivity and debt crises that are strongly affected by the financial volatility of recent years and includes examples from Europe and Asia. In addition, the authors give particular attention to the private sector of Finance and Banking, which is deeply interwoven with the financial performance of a country’s economy. Examples such as bank profitability and troubled loans are covered and the volume also discusses the economic impact of banks such as the Ottoman Bank in a national economy. The book also explores the importance of financial stability, intellectual capital and bank performance for a stable economic environment. Front Matter ....Pages i-vii Front Matter ....Pages 1-1 Regional or Local Damage? Contagion Effects of Greek Debt Crisis Revisited (Melik Kamışlı, Serap Kamışlı, Fatih Temizel)....Pages 3-23 A Hardheaded Look: How Did India Feel the Tremors of Recent Financial Crises? (Sovik Mukherjee, Asim K. Karmakar)....Pages 25-51 The Extreme Value Forecasting in Dynamics Situations for Reducing of Economic Crisis: Cases from Thailand, Malaysia, and Singapore (Chukiat Chaiboonsri, Satawat Wannapan)....Pages 53-89 External Borrowing Issue in Ottoman Empire (1854–1876 Term) (Kenan Demir)....Pages 91-110 Rethinking the Schumpeterian Revolution: The Linkage Between Financial Development, Technology, and Economic Growth (Gönül Yüce Akıncı)....Pages 111-129 Defense Expenditures and Economic Growth Relationship: A Panel Data Approach for NATO (Güldenur Çetin, Hasan Hüseyin Yıldırım, Ayben Koy, Cihat Köksal)....Pages 131-149 Grouping OECD Countries Based on Energy-Related Variables Using k-Means and Fuzzy Clustering (Abdulkadir Hiziroglu, Ayhan Kapusuzoglu, Erhan Cankal)....Pages 151-169 The Determinants of Total Factor Productivity in European Union (Murat Akkaya, Deniz Güvercin)....Pages 171-189 The Role of Religion on Tax Revenue: A Global Religious Perspective (Gökhan Dökmen)....Pages 191-208 Assessing the Twin and Triple Deficit Hypotheses in Developing Economies: A Panel Causality Analysis (Arzu Tay Bayramoğlu, Zafer Öztürk)....Pages 209-225 Stability Analysis of Some Dynamic Economic Systems Modeled by State-Dependent Delay Differential Equations (Sertaç Erman)....Pages 227-240 Front Matter ....Pages 241-241 Troubled Credits Selling of State Banks to Asset Management Companies in Turkey (Mustafa Tevfik Kartal)....Pages 243-270 Economic Contributions of the Ottoman Bank in the Ottoman Empire and the Turkish Republic (Seçil Şenel)....Pages 271-291 Bankruptcy: An Examination of Different Approaches (Fatih Yigit)....Pages 293-308 Behavioral Finance Models, Anomalies, and Factors Affecting Investor Psychology (İstemi Çömlekçi, Ali Özer)....Pages 309-330 Global Macroeconomic Determinants of the Domestic Commodity Derivatives (Cagatay Basarir, Mehmet Fatih Bayramoglu)....Pages 331-349 Evaluation of Elderly Financial Stability: Evidence from European Countries (Marta Borda, Patrycja Kowalczyk-Rólczyńska)....Pages 351-368 An Overview of Measuring and Reporting Intellectual Capital (Buket Atalay, Soner Gokten, Medine Turkcan)....Pages 369-388 The Financial Analysis of the Ottoman Cash Waqfs (Çiğdem Gürsoy)....Pages 389-413 Performances of Emerging Stock Exchanges During the Fed’s Tapering Announcements (Onur Enginar, Mehmet Baha Karan, Göknur Büyükkara)....Pages 415-443 Determining the Priorities of CAMELS Dimensions Based on Bank Performance (Mehmet Pekkaya, Figen Erol Demir)....Pages 445-463 What Are Relations Between the Domestic Macroeconomic Variables and the Convertible Exchange Rates? (Cem Kartal, Mehmet Fatih Bayramoglu)....Pages 465-483
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