Please use this identifier to cite or link to this item: http://hdl.handle.net/11547/11537
Title: An analysis of the relation between return and beta for portfolios of Turkish equities
Authors: Karagöz, Murat
Keywords: MARKET EQUILIBRIUM
Issue Date: 2016
Series/Report no.: 4;
Abstract: Istanbul as one of the newly emerging financial centers as well as Shanghai and Dubai, rushed up to the world stage after the financial crises of the last two decades. This article developed two level instrumental factors by summarized preconditions and theories of International financial center to evaluate potential powers of Istanbul by comparative analysis with Shanghai and Dubai. It investigates the best practiced official indexes and reports along with books and articles. Finally conclude with the strengths and weaknesses of Istanbul, looking into its feasibility and competitiveness position as well. (C) 2016 The Authors. Published by Elsevier B.V.
URI: http://hdl.handle.net/11547/11537
ISSN: 2332-2039
Appears in Collections:Web Of Science

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