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dc.contributor.authorŞAHİN, Hasan (Tez Danışmanı)
dc.contributor.authorKUTLU, Mehmet Özgür (Yazar)
dc.date.accessioned2019-02-07T19:43:18Z
dc.date.available2013
dc.date.available2019-02-07T19:43:18Z
dc.identifier.urihttp://hdl.handle.net/20.500.12575/31644
dc.description.abstractThe relationship between financial development and real sector has receivedconsiderable attention in economic literature for a long time. In this thesis, therelationship between financial development and real sector is examined for Turkeyusing the monthly data over the period of 1990-2013. BIST100 index is used torepresent the financial development and industrial production index is used torepresent the production level of real sector. Granger causality between these datasets is analyzed with Toda-Yamamoto (1995) method. The results of the analysisshow that there is unidirectional causality from financial development to real sectorand support the supply-leading hypothesis for Turkey.AbstractThe relationship between financial development and real sector has receivedconsiderable attention in economic literature for a long time. In this thesis, therelationship between financial development and real sector is examined for Turkeyusing the monthly data over the period of 1990-2013. BIST100 index is used torepresent the financial development and industrial production index is used torepresent the production level of real sector. Granger causality between these datasets is analyzed with Toda-Yamamoto (1995) method. The results of the analysisshow that there is unidirectional causality from financial development to real sectorand support the supply-leading hypothesis for Turkey.
dc.language.isotrTR_tr
dc.publisherAnkara Üniversitesi Sosyal Bilimler Enstitüsü İktisat Anabilim Dalı
dc.subjectFinans, SOSYAL BİLİMLER (GENEL)tr
dc.titleFinansal gelişme ve ekonomik büyüme arasındaki ilişkinin incelenmesi
dc.typemasterThesis


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