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Erken uyarı sinyali olarak sermaye göstergeleri: Asya krizi örneği

Author

Listed:
  • Mehmet ALAGÖZ

    (Selçuk Üniversitesi)

  • Sinem YAPAR

    (Selçuk Üniversitesi)

Abstract

1990’ların ikinci yarısında gelişmekte olan ülkelerde gerçekleşen finansal krizler ve krizleri ortaya çıkaran nedenler özel bir ilgiyi hak etmektedir. Son çeyrek asırdır artan finansal liberalizasyon çabaları ile birlikte gelişmekte olan ülkeler yanında gelişmiş ülkelerde de ortaya çıkan ve özellikle 1990’lı yıllara damgasını vuran finansal krizler, sermaye hareketlerinin serbestleşmesi sonucu zaman zaman bir bulaşma etkisi yaratarak tüm ülkeleri etkisi altına alabileceğini ortaya koymuştur. Çalışmanın amacı; sermaye hareketlerinin finansal bir krizin uyarı sinyali olup olamayacağını ortaya koymaktır. Çalışmada, dört Asya ülkesinin, 1990-2001 yılları arası gerçekleşen sermaye hareketlerine ilişkin göstergeleri incelenmiştir.

Suggested Citation

  • Mehmet ALAGÖZ & Sinem YAPAR, 2006. "Erken uyarı sinyali olarak sermaye göstergeleri: Asya krizi örneği," Iktisat Isletme ve Finans, Bilgesel Yayincilik, vol. 21(247), pages 79-91.
  • Handle: RePEc:iif:iifjrn:v:21:y:2006:i:247:p:79-91
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    More about this item

    Keywords

    finansal liberalizasyon; uzun ve kısa süreli sermaye hareketleri ; asya ülkeleri; erken uyarı sinyalleri.;
    All these keywords.

    JEL classification:

    • F02 - International Economics - - General - - - International Economic Order and Integration
    • F21 - International Economics - - International Factor Movements and International Business - - - International Investment; Long-Term Capital Movements
    • F32 - International Economics - - International Finance - - - Current Account Adjustment; Short-term Capital Movements
    • O53 - Economic Development, Innovation, Technological Change, and Growth - - Economywide Country Studies - - - Asia including Middle East
    • N25 - Economic History - - Financial Markets and Institutions - - - Asia including Middle East

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