A copy of this work was available on the public web and has been preserved in the Wayback Machine. The capture dates from 2018; you can also visit the original URL.
The file type is application/pdf
.
AN ANALYSIS OF MACROECONOMIC VARIABLES AFFECTING REAL SECTOR CONFIDENCE INDEX: THE CASE OF TURKEY
2017
International Journal of Commerce and Finance
unpublished
Traditional finance theories are not sufficient to explain investor's sentiment and psychology. This situation leads to emergence of Behavioural Finance. The aim of this paper is to
fatcat:j27yq2yjobevnahemmm6eqk2tq