Güncel Gönderiler: Finans ve Bankacılık Bölümü Makale Koleksiyonu
Toplam kayıt 25, listelenen: 21-25
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Measuring the financial risk level in emerging and developed markets: Traditional and alternative methods
(Canadian Center of Science and Education, 2015)In this study,we measured the financial risk levels of five emerging and five developed markets’ stock indexes using traditional and alternative models. We used the variance,semi-variance,beta,and downside beta,Gaussian ... -
Power laws in financial markets: Scaling exponent H and alpha-stable distributions
(CIBER Institute, 2015)In this study, we analyzed whether daily returns of Brent crude oil, dollar/yen foreign exchange, Dow&Jones Industrial Average Index and 12-month libor display power law features in the scaling exponent and probability ... -
Sustainable growth of turkish tourism sector and alternative methods in finance
(2011)According to the World Tourism Organization- Tourism Highlights 2011 survey in 2010 World`s top destinations, Turkey has the seventh most tourists, with 27 million visitors and the tenth highest revenue from tourism, earning ... -
Kredi kartı taleplerinin değerlendirilmesinde değişken analizi
(2011)Son iki yıl içerisinde banka kredilerinde kanuni takip oranlarının artması, azalan mali kaynaklar ile birlikte verimliliğin öneminin giderek artmasına neden olmuştur. Sorunlu kredi oranı içerisindeki dağılıma dikkat ... -
Combination of discriminant analysis and artifıcial neural network in the analysis of credit card customers
(2011)The decrease in the rate of legal proceedings for the bank loans in the last two years caused an increase in the importance of efficiency along with a decrease in financial resources. When it is paid attention to the ...