The Asymmetric Relationships Between Hedge Funds and Financial Indicators: Evidence From Turkey

dc.contributor.authorKamışlı, Serap
dc.contributor.authorKocadayı, Neslihan
dc.contributor.authorAmeen, Mustafa Hamad
dc.date.accessioned2025-05-20T18:28:33Z
dc.date.issued2020
dc.departmentBilecik Şeyh Edebali Üniversitesi
dc.description.abstractAs a result of the liberalization, technological developments, innovations in financial transactions and the formation of new financial instruments since the 1990s, hedge funds have taken their place in the financial markets. It has reached important points in the international markets due to the size of the transaction volume and being the investment fund of the super rich. Strategies used in hedge funds and risks arising from these strategies affect financial markets. Influence of financial markets directly or indirectly affects financial assets and financial indicators. In this context, the study aims to investigate the relationship between hedge fund investments in Turkey and financial indicators. For this purpose, weekly data covering periods 14.08.2015 - 17.01.2020 were used. Then traditional causality and Hatemi-J asymmetric causality tests (2012) were applied to analyze the time series data. As a result of the applied analyzes, both of symmetrical and asymmetrical relationships were determined between the mentioned variables.
dc.identifier.endpage44
dc.identifier.issn1306-8946
dc.identifier.issn3023-5065
dc.identifier.issue2
dc.identifier.startpage34
dc.identifier.urihttps://hdl.handle.net/11552/4343
dc.identifier.volume15
dc.language.isotr
dc.publisherÇanakkale Onsekiz Mart Üniversitesi
dc.relation.ispartofGirişimcilik ve Kalkınma Dergisi
dc.relation.publicationcategoryMakale - Ulusal Hakemli Dergi - Kurum Öğretim Elemanı
dc.rightsinfo:eu-repo/semantics/openAccess
dc.snmzKA_DergiPark_20250518
dc.subjectHedge funds
dc.subjectFinancial indicators
dc.subjectFinancial assets
dc.subjectHatemi-J assymetric causality
dc.titleThe Asymmetric Relationships Between Hedge Funds and Financial Indicators: Evidence From Turkey
dc.typeResearch Article

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