Derginin Adı:
|
Balıkesir Üniversitesi Sosyal Bilimler Enstitüsü Dergisi
|
Cilt:
|
2000/3
|
Sayı:
|
4
|
Makale Başlık:
|
TAHVİL PİYASALARINDA FİYAT DEĞİŞKENLİĞİ
|
Makale Alternatif Dilde Başlık:
|
Alternatif dilde başlık bulunmamaktadır. There is no article title in another language.)
|
Makale Eklenme Tarihi:
|
3.03.2011
|
Okunma Sayısı:
|
1
|
Makale Özeti:
|
In the security markets, systematic risks are unavoidable. The players in
this market must conform to regulative rules. The players who take a pozition in
security markets must find reasons for crisis. On the other hand, they must find
different ways to manage risky activities without taking disadvantages. The
decreasing or increasing ratio of capital of lender or borrower is an effective
indicator in risk management. International security and bond markets contains
various players who have different behavioural charecteristics. In security markets
the lowest interest rate must be researched by the players where in. This gives an
opportunity to players taking an advantage in their position.
|
Alternatif Dilde Özet:
|
Alternatif dilde abstract bulunmamaktadır. (There is no abstract in another language.)
|