Master'sOpen Access

2008 february 2001 crisis in Turkey operating in the global crisis panel data analysis of foreign banks

Is this your thesis?

This record came from a bulk archive import. If it’s yours, link it to your profile.

2018
0 views
0 downloads
Advisor: Doç. Dr. Selçuk Kendirli

Abstract (EN)

The crisis can be described as a state of irregularity that originates from various causes in almost all living areas. In terms of the sectors they affect in the field of economy, crises are divided into real sector crises affecting the goods and services sector and financial crises affecting financial markets. Turkey is lived in 1994, 2000 November, which is a country with a history if financial crises crisis in February 2001. In the international financial sector, where financial markets have become increasingly integrated in recent years, the crisis in financial markets of any country can be transformed into a global crisis that affects the whole world. The starting point of the US morgage crisis, which has also been in short time become a global crisis affecting the entire world ecenomy and of Turkey and the Turkish banking has also been affected by the crisis. After the general information about the February 2001 and 2008 global crisis was given in the study, the analysis part method used in the analysis is operating in Turkey between 1997-2016 12 years were included in the foreign bank analysis. The analysis carried out in the framework of the 12 foreign banks operating in Turkey in February 2001 and was concluded in 2008 negatively affected from the global crisis. Keywords: Crisis, Financial Crisis, February 2001 Crisis, 2008 Global Crisis and Foreign Banks.

Author

Esra Özkahveci

How to Cite

Esra Özkahveci (Master Thesis). 2008 february 2001 crisis in Turkey operating in the global crisis panel data analysis of foreign banks, 2018, Hitit University.

License

Tüm Hakları Saklıdır

This work is shared under the specified license terms.

More theses from Hitit University