• Author/Authors

    Kanberoğlu, Zafer Yüzüncü Yıl Üniversitesi - Iktisadi ve Idari Bilimler Fakültesi (İİBF) - İktisat Bölümü, Turkey

  • Title Of Article

    FINANCIAL SECTOR DEVELOPMENT and UNEMPLOYMENT: The CASE of TURKEY

  • شماره ركورد
    39765
  • Abstract
    This study discusses the relationship between the financial sector development and the unemployment in the case of Turkey. Using the multivariate regression analysis method, it was ascertained that the results showed that money supply M2/GDP increased the unemployment rate and Market Stock Value/ GDP decreased the unemployment rate in the period of 1985-2010. Additionally, others financial sector indicators; It was reached to the point that, domestic credit to private sector/ GDP and Total Financial Assets/GDP decreased the unemployment rate. Though, the index of coefficient getting from these two variable give information about the general tendency, it is obvious that the results of coefficient are not statistically reliable.
  • From Page
    83
  • NaturalLanguageKeyword
    Financial sector , Unemployment , Multivariate regression analysis
  • JournalTitle
    The International Journal Of Economic and Social Research
  • To Page
    93
  • JournalTitle
    The International Journal Of Economic and Social Research