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DETERMINANTS OF TURKISH STOCK RETURNS UNDER THE IMPACT OF ECONOMIC POLICY UNCERTAINTY

dc.contributor.authorTİRYAKİ, AHMET
dc.contributor.authorAhmet Ti̇ryaki̇
dc.contributor.orcid0000-0002-0083-0827
dc.contributor.orcid0000-0002-9527-7736
dc.date.accessioned2025-11-13T10:19:40Z
dc.date.issued2018-12-08
dc.identifier.doihttps://doi.org/10.18092/ulikidince.424369
dc.identifier.endpage162
dc.identifier.issn1307-9832
dc.identifier.issue22
dc.identifier.openalexW2905088923
dc.identifier.startpage147
dc.identifier.urihttps://hdl.handle.net/11421/3815
dc.identifier.urihttps://doi.org/10.18092/ulikidince.424369
dc.language.isoen
dc.relation.ispartofUluslararası İktisadi ve İdari İncelemeler Dergisi
dc.rightsrestrictedAccess
dc.subjectEconomics
dc.subjectStock (firearms)
dc.subjectStock market index
dc.subjectIndex (typography)
dc.subjectTurkish
dc.subjectInterest rate
dc.subjectError correction model
dc.subjectEconometrics
dc.subjectExchange rate
dc.subjectShort run
dc.subjectMonetary economics
dc.subjectMacroeconomics
dc.subjectFinancial economics
dc.subjectStock market
dc.subjectCointegration
dc.subjectGeography
dc.titleDETERMINANTS OF TURKISH STOCK RETURNS UNDER THE IMPACT OF ECONOMIC POLICY UNCERTAINTY
dc.typeArticle
dspace.entity.typePublication
local.authorid.openalexA5047995922

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