dc.contributor.author | Bozoklu, Seref | |
dc.date.accessioned | 2021-03-03T15:27:15Z | |
dc.date.available | 2021-03-03T15:27:15Z | |
dc.date.issued | 2013 | |
dc.identifier.citation | Bozoklu 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.issn | 1331-677X | |
dc.identifier.other | vv_1032021 | |
dc.identifier.other | av_3f07c973-aee0-465b-9c13-a6fdd811609e | |
dc.identifier.uri | http://hdl.handle.net/20.500.12627/46199 | |
dc.identifier.uri | https://doi.org/10.1080/1331677x.2013.11517596 | |
dc.description.abstract | This 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.iso | eng | |
dc.subject | Sosyal ve Beşeri Bilimler | |
dc.subject | Sosyal Bilimler (SOC) | |
dc.subject | İktisat | |
dc.subject | EKONOMİ | |
dc.subject | Ekonomi ve İş | |
dc.title | MONEY, INCOME, AND CAUSALITY: AN EXAMINATION FOR THE TURKISH ECONOMY | |
dc.type | Makale | |
dc.relation.journal | ECONOMIC RESEARCH-EKONOMSKA ISTRAZIVANJA | |
dc.contributor.department | İstanbul Üniversitesi , İktisat Fakültesi , İktisat | |
dc.identifier.volume | 26 | |
dc.identifier.issue | 1 | |
dc.identifier.startpage | 171 | |
dc.identifier.endpage | 182 | |
dc.contributor.firstauthorID | 80981 | |