Financial risk management through derivative instruments and the development of financial futures markets in Turkey

Download
1997
Tola, K. Nuray

Suggestions

Financial strategic planning and knowledge management : a comparative case study on Turkish Banking Sector
Durtaş Başpınar, Canan Pelin; Güçlü, Nusret; Department of Science and Technology Policy Studies (2012)
It is not easy to set up a knowledge management system (KMS) in banking due to the size of large services, the variety of products, dealing with large information, serving under high cost pressure and highly competitive market conditions. This thesis proposes that strategic management is a knowledge processing outcome, and should be an integral part of the financial strategic planning (FSP), which is essential in the agility of financial organizations.. This thesis will explore a FSP model that is developed...
Financial market integration in the EU and probable effects on Turkish stock market
Buzlupınar, Elif; Ege, Aylin; Department of European Studies (2008)
The aim of this thesis is to analyze the probable effects of integration with European stock markets on stock market in Turkey as an acceding country. The required changes in Turkey’s legal framework and economic effects on Turkish stock market have been examined by reference to the current legal framework of the EU and the measures that can be defined as reform within the dynamic integration process of the EU. It is determined that adopting the legal framework of the EU will have numerous effects on all th...
Financial reporting in multinational enterprises operating in Turkey.
Yüksel, Bozkurt; Göktan, Erkut; Department of Management (1998)
Financial crises and the nature of correlation between commodity and stock markets
ÖZTEK, MEHMET FATİH; Öcal, Nadir (2017-03-01)
This paper models time-varying correlations between commodity and stock markets to uncover the dynamic nature of correlations during the financialization of commodity markets and in the aftermath of the recent financial crisis. Particularly, we search for upward trends in correlations and investigate the impacts of global and market volatility, and the news from the markets on the time-varying structure of correlations. The focus is on two commodity sub-indices; agricultural commodity and precious metal. Ne...
Financial development, financial openness and growth: an empirical investigation
Ünaldı Akgün, Burçin; Özmen, Erdal; Department of Economics (2011)
The economic literature posits that a well-functioning economy requires a well-regulated financial system, and a sound financial system is essential to the fundamentals of an economy, however, even the most influential economists disagree sharply about the role of the finance-growth relationship in economic development. One of the most important questions concerning financial openness is whether it spurs long-run economic growth, and if yes, do these benefits outweigh the risks for developing countries. In ...
Citation Formats
K. N. Tola, “Financial risk management through derivative instruments and the development of financial futures markets in Turkey,” Middle East Technical University, 1997.