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Global financial risk, the risk-taking channel, and monetary policy in emerging markets

dc.contributor.authorYILDIRIM, ZEKERİYA
dc.contributor.orcid0000-0002-0324-4356
dc.date.accessioned2025-11-13T09:45:05Z
dc.date.issued2022-09-08
dc.identifier.doihttps://doi.org/10.1016/j.econmod.2022.106042
dc.identifier.endpage106042
dc.identifier.issn0264-9993
dc.identifier.openalexW4297179664
dc.identifier.startpage106042
dc.identifier.urihttps://hdl.handle.net/11421/2080
dc.identifier.urihttps://doi.org/10.1016/j.econmod.2022.106042
dc.identifier.volume116
dc.language.isoen
dc.relation.ispartofEconomic Modelling
dc.rightsrestrictedAccess
dc.subjectMonetary policy
dc.subjectEconomics
dc.subjectExchange rate
dc.subjectMonetary economics
dc.subjectInflation (cosmology)
dc.subjectEmerging markets
dc.subjectFinancial market
dc.subjectInflation targeting
dc.subjectMacroeconomics
dc.subjectFinance
dc.subject.sdg17
dc.titleGlobal financial risk, the risk-taking channel, and monetary policy in emerging markets
dc.typeArticle
dspace.entity.typePublication
local.authorid.openalexA5071644106

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