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This study explores the relations between the development level of capital market sub-components, involving mutual/pension funds, corporate bond, stock and government bond markets, and economic growth over the period of 2006:M1 and 2016:M6 in Turkey. We find that there is a long-run...
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This paper presents a comparative analysis of the return and volatility spillovers across the commodity and currency markets for an expanded set of commodity-exporters and currencies that includes several emerging commodity-exporting nations in addition to the developed exporters that have often...
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