Tursoy, Turgut (2019): Financial Stability and Financial Markets: Case of Turkey.
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Abstract
Introduction: The purpose of the paper is to examine what is financial stability in the financial market. This paper is providing the condition of financial instability and connecting the concept with the aggregate economic activities.
Case Description: This paper investigates the case of Turkey which was faced by a crisis in the year 2001 and explains the intervention by the government to solve the issues related to the crisis.
Discussion and Evaluation: After the necessary amendments are done by the government to solve the devastating effects of crises, it is showing to having the well-functioning financial system is crucial for welfare into the country.
Conclusions: All the attempted did by the necessary institutions and governments effectively solved the issues related to the crisis, and as a result, improving and developing the necessary conditions into the financial system is an essential task to having a well-functioning financial system.
Item Type: | MPRA Paper |
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Original Title: | Financial Stability and Financial Markets: Case of Turkey |
Language: | English |
Keywords: | Financial Instability, Financial Markets |
Subjects: | G - Financial Economics > G1 - General Financial Markets G - Financial Economics > G2 - Financial Institutions and Services |
Item ID: | 97147 |
Depositing User: | Professor Turgut Tursoy |
Date Deposited: | 02 Dec 2019 10:16 |
Last Modified: | 12 Dec 2019 21:24 |
References: | Houben, A. C., Kakes, J., & Schinasi, G. J. (2004). Toward a framework for safeguarding financial stability (Vol. 4). International Monetary Fund. Crockett, A. (1996). The theory and practice of financial stability. De Economist, 144(4), 531-568. Mishkin, F. S. (1999a). Global financial instability: framework, events, issues. Journal of economic perspectives, 13(4), 3-20. Mishkin, F. S. (1999b). International capital movements, financial volatility and financial instability (No. w6390). National Bureau of Economic Research. Wyplosz, C. (1999). International financial instability. Global Public Goods: International Cooperation in the 21st Century, 152-89. Crockett, A. (2001). Why is financial stability a goal of public policy? Handbook of monetary and fiscal policy, 97, 69-86. |
URI: | https://mpra.ub.uni-muenchen.de/id/eprint/97147 |