Title of article :
KÜRESEL FİNANSAL KRİZİN DAVRANIŞSAL FİNANS PERSPEKTİFİNDEN DEĞERLENDİRİLMESİ
Author/Authors :
BAYAR, Yılmaz Karabük Üniversitesi - İşletme Fakültesi - İşletme Bölümü, Turkey , KILIÇ, Cüneyt Çanakkale Onsekiz Mart Üniversitesi - Biga İktisadi ve İdari Bilimler Fakültesi - İktisat Bölümü, Turkey
From page :
177
To page :
195
Abstract :
Financial liberalization and deregulation of financial markets since the 1980s have increased the volatility of financial markets in global scale. Financial crises together with the financial liberalization and deregulation of the markets have begun to occur more often in the integrated markets, spread very faster and their effects have become more serious on the economies compared to past. Inadequacy of the evaluation of traditional finance for market conjonctures causes increases in fragility, uncertainty and unpredictability of the financial markets. This study discusses global financial crisis by taking into consideration the propositions of behaviorial finance paradigm which is a response to difficultues faced by the traditional paradigm to answer conjonctures.
Keywords :
Financial crises , global financial crisis , behaviorial finance
Journal title :
Istanbul Journal of Economics
Journal title :
Istanbul Journal of Economics
Record number :
2719522
Link To Document :
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