Turkish Financial Crises of November 2000 and February 2001

Turkish Financial Crises of November 2000 and February 2001

An Empirical Analysis with Artificial Neural Networks

LAP Lambert Academic Publishing ( 2010-10-18 )

€ 49,00

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The number of studies on financial crises has increased significantly especially over the last thirty years. Many scholars have constructed models to shed some light on the causes of crises, and find out the most appropriate measures to prevent the eruption or to mitigate the severity of them. In this book, the author also aims to construct a model for the Turkish financial crises of November 2000 and February 2001. To this effect, the study is divided into three chapters. In the first chapter, theoretical background of the concept of financial crisis is laid. In the second chapter, financial crisis models and the reasons of financial crises are elaborated. In addition, the reasons of the financial crises that took place in Turkey in November 2000 and February 2001 are examined descriptively. In the third chapter, the financial crises in question are investigated empirically by making use of the method of Artificial Neural Networks (ANN). The author hopes the study to be useful for researchers studying on crises, particularly Turkish financial crises.

Book Details:

ISBN-13:

978-3-8383-5616-7

ISBN-10:

3838356160

EAN:

9783838356167

Book language:

English

By (author) :

Birol Görmez

Number of pages:

100

Published on:

2010-10-18

Category:

Economics