The causes and impacts of 2007-2008 global financial crisis on the banking sectors of Turkey and United Kingdom
Başlık çevirisi mevcut değil.
- Tez No: 401473
- Danışmanlar: DR. ERNEST KAPAYA
- Tez Türü: Yüksek Lisans
- Konular: İşletme, Business Administration
- Anahtar Kelimeler: Belirtilmemiş.
- Yıl: 2011
- Dil: İngilizce
- Üniversite: University of Gloucestershire
- Enstitü: Yurtdışı Enstitü
- Ana Bilim Dalı: Belirtilmemiş.
- Bilim Dalı: Belirtilmemiş.
- Sayfa Sayısı: 72
Özet
Özet yok.
Özet (Çeviri)
The purpose of this study is to identify the causes and impacts of the 2007-2008 Global Financial Crisis on the Banking Sectors of United Kingdom and Turkey by identifying and analysing the mortgage lending practices, securitization and structured financial instruments, financial regulation and supervision together with the measures taken against the crisis and, the main financial indicators in banking sectors of both countries. Also, in order to test the hypothesis that Turkish banking sector may not be affected as badly as the UK banking sector from the global financial crisis of 2007-2008, exploratory analysis based on quantitative data and accordingly charts and tables to display the main financial indicators are used. The sources of data are of secondary nature, which are mainly obtained from the publicly available press releases, especially reports of financial authorities of both countries, annual reports of selected banks, statistics, online newspaper and e-journal articles conSidering the fact that the topic is quite recent and therefore requires up-to-date information. Furthermore, according to the purpose, logic, outcome of the study; analytical/explanatory, inductive and deductive, basic and, quantitative research types are chosen respectively. As a result of the findings based on the analysis of indicators of total asset growth, losses and profitability; liquidity, leverage, loan/deposit and capital adequacy ratios; credit ratings along with the growth in mortgage lending and the costs of state support, the Turkish banking sector is proven to be less vulnerable and more resilient than the banking sector of UK.
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