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dc.contributor.authorYıldırım, Hakan
dc.contributor.authorŞahin, Eyyüp Ensari
dc.contributor.authorAkdağ, Saffet
dc.contributor.authorAdewale Alola, Andrew
dc.date.accessioned2024-01-26T10:33:25Z
dc.date.available2024-01-26T10:33:25Z
dc.date.issued2023en_US
dc.identifier.citationYıldırım, H., Şahin, E. E., Akdağ, S., & Alola, A. A. (2023). The causal nexus between bank indices and geopolitical risk: bootstrap causality analysis under horizontal sector dependence. Journal of Social and Economic Development, 1-8.en_US
dc.identifier.issn0972-5792
dc.identifier.issn2199-6873
dc.identifier.urihttps://doi.org/10.1007/s40847-023-00257-w
dc.identifier.urihttps://hdl.handle.net/11491/8749
dc.description.abstractAs the global economy thrives and pushes for sustainable growth, there are also a plethora of non-economic challenges arising from the respective dimensions of insecurity and geopolitical tensions such as inter- and intra-country conficts. Geopolitical risk mostly arises from security tensions, war, and terrorist incidents, which hamper peaceful inter-country and regional cooperation, thus endangering state institutions such as fnancial institutions. Given this observation, the current study examines the relationship between the geopolitical risk index and bank indices by employing the bootstrap panel causality approach over a monthly period from September 2003 to December 2018. In this case, the causality analysis of the geopolitical risk index and bank indices for six (6) countries (China, Indonesia, Israel, Philippines, Saudi Arabia, and Turkey) was performed. Importantly, the investigation found causality only from the geopolitical risk index to bank indices in Turkey and Israel. Given the statistical evidence from the study, we ofer related policy recommendations, especially for the examined countries.en_US
dc.language.isoengen_US
dc.publisherSPRINGER INDIAen_US
dc.relation.ispartofJournal of Social and Economic Developmenten_US
dc.rightsinfo:eu-repo/semantics/openAccessen_US
dc.subjectGeopolitical risksen_US
dc.subjectBank indicesen_US
dc.subjectBootstrap panel causalityen_US
dc.subjectDeveloping economiesen_US
dc.titleThe causal nexus between bank indices and geopolitical risk: bootstrap causality analysis under horizontal sector dependenceen_US
dc.typearticleen_US
dc.departmentHitit Üniversitesi, İktisadi ve İdari Bilimler Fakültesi, Uluslararası Ticaret ve Lojistik Yönetimi Bölümüen_US
dc.authorid0000-0003-2110-7571en_US
dc.relation.publicationcategoryMakale - Uluslararası Hakemli Dergi - Kurum Öğretim Elemanıen_US
dc.contributor.institutionauthorŞahin, Eyyüp Ensari
dc.identifier.doi10.1007/s40847-023-00257-wen_US
dc.description.wospublicationidWOS:001002964100001en_US


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