Uluslararası sermayenin sınırlarının kalkması ile birlikte derecelendirmeye olan ihtiyaç da artış göstermektedir. Hem sermaye ihtiyacı olan ülkeler hem de uluslararası yatırımcılar kredi derecelendirme kuruluşlarının derecelendirme notlarına göre hareket etmektedir. Bu bağlamda kredi derecelendirme kuruluşlarının ülkelere verdiği kredi notları söz konusu ülke piyasaları üzerinde etkili bir faktördür. Bu çalışmada, 1 Ocak 2013 ile 21 Mart 2018 tarihleri arasında Moody's, S&P ve Fitch uluslararası derecelendirme kuruluşları tarafından Türkiye ve BRICS ülkelerine verilen ülke kredi notlarındaki değişikliklerin Kredi Temerrüt Takas (CDS) primi, Borsa İstanbul 100 (BIST100), Bolsa de Valores de Sao Paulo (BOVESPA), Moscow Times Indeks (RTSI), Bo...
We analyse the impact of sovereign rating actions by S&P, Moody's and Fitch on bank valuations in em...
Standard and Poor’s (S&P), Moody’s and Fitch have been producing credit ratings for government bond...
This doctoral dissertation investigates sovereign credit risk, that is the failure or unwillingness ...
ÖZET Bu çalışmada, Türkiye’nin ülke kredi riski, ekonomik, mali, parasal ve olay risk faktörleriyle ...
Çalışmada ülke kredi notlarının ve CDS primlerinin finansal piyasalara uzun dönem ve kısa dönem etki...
MCom (Risk Management), North-West University, Potchefstroom Campus, 2016.The recent global financia...
Son yıllarda ,küreselleşmenin artması mali piyasaların yapısında karmaşıklığa ve derinleşmelere yol ...
Financial globalization in the 21th century has led the sovereign credit ratings and credit default ...
Sovereign credit ratings are an investment tool supplied by credit rating agencies such as Standard ...
We analyze the reactions of the returns of four European stock markets to sovereign credit rating ch...
Credit ratings given to countries by credit rating agencies have the potential to direct internation...
Maģistra darba „Nacionālie kredītreitingi un to ietekme uz ārzemju tiešajām investīcijām” mērķis ir ...
Research background: Sovereign credit ratings play an important role in determining any country?s ac...
Sovereign rating is a key element of how investors perceive the relative risk of investing in Treasu...
Credit ratings have a key role in modern financial markets as they communicate crucial information o...
We analyse the impact of sovereign rating actions by S&P, Moody's and Fitch on bank valuations in em...
Standard and Poor’s (S&P), Moody’s and Fitch have been producing credit ratings for government bond...
This doctoral dissertation investigates sovereign credit risk, that is the failure or unwillingness ...
ÖZET Bu çalışmada, Türkiye’nin ülke kredi riski, ekonomik, mali, parasal ve olay risk faktörleriyle ...
Çalışmada ülke kredi notlarının ve CDS primlerinin finansal piyasalara uzun dönem ve kısa dönem etki...
MCom (Risk Management), North-West University, Potchefstroom Campus, 2016.The recent global financia...
Son yıllarda ,küreselleşmenin artması mali piyasaların yapısında karmaşıklığa ve derinleşmelere yol ...
Financial globalization in the 21th century has led the sovereign credit ratings and credit default ...
Sovereign credit ratings are an investment tool supplied by credit rating agencies such as Standard ...
We analyze the reactions of the returns of four European stock markets to sovereign credit rating ch...
Credit ratings given to countries by credit rating agencies have the potential to direct internation...
Maģistra darba „Nacionālie kredītreitingi un to ietekme uz ārzemju tiešajām investīcijām” mērķis ir ...
Research background: Sovereign credit ratings play an important role in determining any country?s ac...
Sovereign rating is a key element of how investors perceive the relative risk of investing in Treasu...
Credit ratings have a key role in modern financial markets as they communicate crucial information o...
We analyse the impact of sovereign rating actions by S&P, Moody's and Fitch on bank valuations in em...
Standard and Poor’s (S&P), Moody’s and Fitch have been producing credit ratings for government bond...
This doctoral dissertation investigates sovereign credit risk, that is the failure or unwillingness ...