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FİNANSAL KRİZLER: TEORİK VE TARİHSEL BİR PERSPEKTİF

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Abstract (Original Language): 
Finansal piyasaların giderek birbirine entegre olduğu ve makroekonomik göstergelerde (döviz kuru, faiz oranı vb.) aşırı ve öngörülemeyen çalkantıların söz konusu olduğus günümüz uluslararası finansal sisteminde herhangi bir ülkenin finansal piyasasında meydana gelen istikrarsızlık, uluslararası finansal piyasalarda zincirleme şekilde istikrarsızlıklara ve daha ileri aşamalarda finansal ve reel krizlere neden olabilmektedir. Özellikle gelişmekte olan ve yükselen (emerging) piyasa ekonomilerinde yoğunlaşan bu krizlerin önüne geçilmesi ve/veya tedavi edilmesi, tarihsel deneyimler ışığında söz konusu krizlerin dinamiklerinin doğru bir şekilde ortaya konulmasını gerektirmektedir. Geliştirilecek politika önermeleri de bu dinamikleri esas almak durumundadır.
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