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Titlebook: Risk Management, Strategic Thinking and Leadership in the Financial Services Industry; A Proactive Approach Hasan Dinçer,Ümit Hacioğlu Book

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Hedging Scenarios Under Competition: Exploring the Impact of Competitors’ Hedging Practicesoptimal hedging policy of an individual firm by explicitly considering the other factors such as the level of pass-through of cost shocks and the level of profitability in the industry. Computational results are based on the simulations of an analytical model which incorporates a Nash equilibrium strategy.
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Global Economic Outlookn after 2008 global financial crisis. In spite of declination in business activities in many industrial countries since 2008, the global economic recovery is developing and it is estimated to be sustained for keeping up with the international trade. In contravention of many years that passed after e
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Sustainable and Inclusive Finance in Turkeys. Financial inclusion does not mean pushing access for the sake of access, and it certainly does not mean making everybody borrow. For inclusive economic development, inclusive finance is a necessary criteria. Growth becomes inclusive if it is supported by structural reforms. The main purpose of th
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Monetary Policy Divergence and Central Banking in the New Erae monetary policies are diverging. Central banks are diverging on their policies as the global economies continue their significant downward convergence trend. More than 40 central banks have eased their monetary policy in 2015. The ECB, the PBOC and the BOJ are expected to ease further looking forw
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The Link Between Dollarization and Its Determinants in Turkey macroeconomic instabilities. In the previous studies the effects, causes and determinants of dollarization were analyzed using the econometric techniques such as co-integration, vector error correction model and vector autoregressive models for multivariate time series methods. We investigate the r
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The Calibration of Market Risk Measures During Period of Economic Downturn: Market Risks and Measuredividual profit and loss distribution is modelled using two different types of extreme value distribution namely: the generalized extreme value (GEV) distribution, and the generalized Pareto distribution (GPD). The resulting shape parameters are all positive indicating that these distributions can i
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