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Global Financial Crisis and Its Ramifications on Capital Markets

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Cover of 'Global Financial Crisis and Its Ramifications on Capital Markets'

Table of Contents

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    Book Overview
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    Chapter 1 The 2008–2009 Financial Crisis in Historical Context
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    Chapter 2 Global Economy at Turmoil
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    Chapter 3 International Financial Centers After the 2008–2009 Global Financial Crisis
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    Chapter 4 Economic Crisis and the Changes in Functioning of International Financial Institutions: The Case of European Developing Countries
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    Chapter 5 Deindustrialization, Public Debts and Euro Crisis
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    Chapter 6 Public Debt Management in Developed Economies During the Crisis
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    Chapter 7 Fiscal Framework Changes in European Monetary Union Before and After Sovereign Debt Crisis
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    Chapter 8 The Impact of the Eurozone Crisis on Turkish Foreign Trade
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    Chapter 9 Regulating Financial Markets After the Global Crisis
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    Chapter 10 Fiscal Sustainability in the G-7 Countries
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    Chapter 11 Monetary Coordination and Regulation Policies of Spillover Effects on Asset Dynamics
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    Chapter 12 Is the Link Between the Real and Financial Sectors Affected by Mechanism of Governance? A Cross-Country Analysis in Asia
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    Chapter 13 External Financial Conditions and Slower Growth in Emerging Economies: 2013–2015
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    Chapter 14 Mortgaging the Future? Contagious Financial Crises in the Recent Past and Their Implications for BRICS Economies
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    Chapter 15 Assessment of Financial Stability in Emerging Economies: Evidence from Nigeria
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    Chapter 16 Emerging Market Economies and International Business Cycle Fluctuations
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    Chapter 17 Financial Conditions Index as a Leading Indicator of Business Cycles in Turkey
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    Chapter 18 Feasibility of Financial Inclusion Mission in India Under Reform and Global Financial Crisis
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    Chapter 19 Renewable Energy Financing with a Sustainable Financial System Following the 2008 Financial Crisis in Developing Countries
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    Chapter 20 The Impact of Russian Economy on the Trade, Foreign Direct Investment and Economic Growth of Turkey: Pre- and Post-Global Financial Crisis
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    Chapter 21 Export Diversification in Emerging Economies
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    Chapter 22 Equity and Debt Financing Strategies to Fuel Global Business Operations During Crisis
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    Chapter 23 Stock Market Development and Economic Growth: The Case of MSCI Emerging Market Index Countries
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    Chapter 24 Turkish Banking System: Maturing with Crises
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    Chapter 25 Investigating the Relationship Between Liquidity and Financial Performance in Turkish Banking Sector: A Pre and Post 2008 Financial Crisis Assessment
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    Chapter 26 Market Risk Instruments and Portfolio Inflows in African Frontier Economies
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    Chapter 27 The Systemic Benefits of Islamic Banking and Finance Practices: A Comparative Study
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    Chapter 28 Determinants of the Credit Risk in Developing Countries After Economic Crisis: A Case of Turkish Banking Sector
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    Chapter 29 Credit Risk Evaluation of Turkish Households Aftermath the 2008 Financial Crisis
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    Chapter 30 International Credit Default Swaps Market During European Crisis: A Markov Switching Approach
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    Chapter 31 Does Reputation still Matter to Credit Rating Agencies?
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    Chapter 32 Price Fluctuations in Econophysics
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    Chapter 33 Forecasting Emerging Market Volatility in Crisis Period: Comparing Traditional GARCH with High-Frequency Based Models
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    Chapter 34 Calendar Anomalies in Stock Markets During Financial Crisis: The S&P 500 Case
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    Chapter 35 Day of the Week Effect in the Stock Markets of Fragile Five Countries After 2008 Global Financial Crisis
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    Chapter 36 Market Volatility, Beta, and Risks in Emerging Markets
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    Chapter 37 The Relationship Between Firm Size and Export Sales: Sector or Size, What Matters?
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    Chapter 38 The Relationship Between Economic Development and Female Labor Force Participation Rate: A Panel Data Analysis
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    Chapter 39 The Impact of the 2008–2009 Global Financial Crisis on Employment Creation and Retention in the Platinum Group Metals (PGMs) Mining Sub-sector in South Africa
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    Chapter 40 The Effects of the Crisis on Nautical Tourism: An Analysis of the Italian Situation Regarding Port Features, Linked Economic Activities and Taxation
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    Chapter 41 Shipbuilding in Italy at the End of the Crisis: Is There a Road to Recovery?
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    Chapter 42 Life Insurance Reforms and Capital Formation Development: Lessons for Nigeria
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    Chapter 43 Innovation During and Beyond the Economic Crisis
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Citations

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Title
Global Financial Crisis and Its Ramifications on Capital Markets
Published by
Springer International Publishing, January 2017
DOI 10.1007/978-3-319-47021-4
ISBNs
978-3-31-947020-7, 978-3-31-947021-4
Editors

Ümit Hacioglu, Hasan Dincer

Twitter Demographics

The data shown below were collected from the profiles of 3 tweeters who shared this research output. Click here to find out more about how the information was compiled.

Mendeley readers

The data shown below were compiled from readership statistics for 41 Mendeley readers of this research output. Click here to see the associated Mendeley record.

Geographical breakdown

Country Count As %
Germany 1 2%
Canada 1 2%
Unknown 39 95%

Demographic breakdown

Readers by professional status Count As %
Student > Master 10 24%
Student > Ph. D. Student 7 17%
Student > Bachelor 5 12%
Student > Postgraduate 3 7%
Student > Doctoral Student 2 5%
Other 6 15%
Unknown 8 20%
Readers by discipline Count As %
Business, Management and Accounting 16 39%
Economics, Econometrics and Finance 6 15%
Engineering 3 7%
Mathematics 3 7%
Computer Science 2 5%
Other 4 10%
Unknown 7 17%