Assoc.Prof.Dr. ESMA GAYGISIZ LAJUNEN
FACULTY OF ECONOMIC AND ADMINISTRATIVE SCIENCES
PublicationsResearchMembership & Awards
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Education

  Bachelor's, Middle East Technical University, Economics
  Master's, Middle East Technical University, Economics
  Doctorate, Manchester University, Economics

Research

Thesis Supervised

  A.1 EFFECTS OF FINANCIAL CRISES AFTER 1990 ON THE TURKISH INSURANCE SECTOR. Msc Thesis. PELİN ÖZBEK. (2010)
  A.2 THE RELATIOSHIP BETWEEN FINANCIAL DEVELOPMENT AND ECONOMIC GROWTH: EXAMPLE FROM TURKISH ECONOMY. Msc Thesis. EMRAH ÖZ. (2010)
  A.3 STOCK MARKET LIQUIDITY ANALYSIS: EVIDENCE FROM THE ISTANBUL STOCK EXCHANGE. Msc Thesis. DUYGU ÖZDEMİR. (2011)
  A.4 EFFECTS OF BANKING SECTOR ON PRIVATE INVESTMENTS. Msc Thesis. GÜLİZ ÖZTORUL. (2011)
  A.5 MONEY DEMAND VOLATILITY IN TURKEY WITH NEW DEFINITIONS. Msc Thesis. EMİNE MELTEM BAŞTAN. (2012)
  A.6 ANALYSIS OF FOREIGN BORROWING AND ITS IMPACT ON FISCAL POLICY IN TURKEY SINCE 2001. Msc Thesis. YASEMİN YAMAN. (2012)
  A.7 ECONOMETRIC ANALYSIS OF FACTORS THAT LED TURKEY TO 2001 CRISIS. Msc Thesis. CEREN AKBIYIK. (2012)
  A.8 FINANCIAL MARKETS. Msc Thesis. RUKİYE YAYLA. (2012)
  A.9 GOVERNMENT DEBT, INTEREST RATES, EXCHANGE RATES AND THE CURRENT ACCOUNT. Msc Thesis. MUSTAFA FATİH BOYRAZ. (2012)
  A.10 MODEL FOR RATING BANKS USING FINANCIAL DATA.. Msc Thesis. FATİH ALTINEL. (2012)
  A.11 OPTIMIZATION MODELS FOR THE TURKISH ENERGY SECTOR APPLIED TO EXAMPLES IN THE ENERGY RISK AND PORTFOLIO MANAGEMENT. Phd Thesis. ERKAN KALAYCI. (2013)
  A.12 ARCH AND GARCH MODELING OF THE VOLATILITY AT ISTANBUL STOCK EXCHANGE. Msc Thesis. İPEK AYŞE SAYIN. (2013)
  A.13 OPTIMAL INVESTMENT IN ELECTRICITY SECTOR UNDER UNCERTAINTY: THE CASE OF TURKEY. Phd Thesis. GÜLSÜM AKARSU. (2013)
  A.14 ANALYSIS OF MARKET STRUCTURE OF BANKING SECTOR IN TURKEY. Msc Thesis. PINAR ÖZPALA. (2013)
  A.15 ANALYSIS OF THE 2008 GLOBAL FINANCIAL CRISIS IN THE LIGHT OF THE MARXIST AND NEO-MARXIST CRISIS THEORIES.. Msc Thesis. TAYLAN BEREKET. (2014)

Project Work

  A.1 COORDINATION FAILURES IN OLIGEMPORY MODELS AND GOVERNMENT'S ECONOMIC POLIICIIES POLICIES. METU, 1 JUNE 2000 - 1 JUNE 2003. Coordinator .
  A.2 Banka Likiditesini Belirleyen Faktörler ve Makroekonomik Krizler. BAP-1 (Excluding thesis supports) , 1 JANUARY 2009 - 1 OCTOBER 2015. Local Coordinator .
  A.3 Banka Likiditesini Belirleyen Faktörler ve Makroekonomik Krizler. BAP-1 (Excluding thesis supports) , 1 JANUARY 2009 - 1 DECEMBER 2011. Local Coordinator .
  A.4 Banka Likiditesini Belirleyen Faktörler ve Makroekonomik Krizler. BAP-1 (Excluding thesis supports) , 1 JANUARY 2009 - 1 DECEMBER 2010. Local Coordinator .
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