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dc.contributor.authorBozoklu, Seref
dc.date.accessioned2021-03-03T15:27:15Z
dc.date.available2021-03-03T15:27:15Z
dc.date.issued2013
dc.identifier.citationBozoklu S., "MONEY, INCOME, AND CAUSALITY: AN EXAMINATION FOR THE TURKISH ECONOMY", ECONOMIC RESEARCH-EKONOMSKA ISTRAZIVANJA, cilt.26, sa.1, ss.171-182, 2013
dc.identifier.issn1331-677X
dc.identifier.othervv_1032021
dc.identifier.otherav_3f07c973-aee0-465b-9c13-a6fdd811609e
dc.identifier.urihttp://hdl.handle.net/20.500.12627/46199
dc.identifier.urihttps://doi.org/10.1080/1331677x.2013.11517596
dc.description.abstractThis paper examines the direction of causality between money and income for the Turkish economy using quarterly data over the period of 1987 to 2011. A vector autoregression model consisting of the real gross domestic product, the broad money supply, the three months deposit rate as short-term interest rate, and the consumer price index is constructed to implement causality tests. Also, a leveraged bootstrapped simulation technique is used when conducting causality tests in order to make the results more robust. The empirical results suggest a bidirectional causation between the two variables and that monetary aggregates may provide relevant information in the implementation of monetary policy.
dc.language.isoeng
dc.subjectSosyal ve Beşeri Bilimler
dc.subjectSosyal Bilimler (SOC)
dc.subjectİktisat
dc.subjectEKONOMİ
dc.subjectEkonomi ve İş
dc.titleMONEY, INCOME, AND CAUSALITY: AN EXAMINATION FOR THE TURKISH ECONOMY
dc.typeMakale
dc.relation.journalECONOMIC RESEARCH-EKONOMSKA ISTRAZIVANJA
dc.contributor.departmentİstanbul Üniversitesi , İktisat Fakültesi , İktisat
dc.identifier.volume26
dc.identifier.issue1
dc.identifier.startpage171
dc.identifier.endpage182
dc.contributor.firstauthorID80981


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