This edited collection investigates present and future developments in the global financial system after the outbreak of the COVID-19 pandemic. The contributors examine the effects of health issues and epidemic diseases in state economies and predict future effects on the banking sector, especially central banking. The contributors also offer important insights into current issues and historical transformations related to currencies, commercial banking, central banks, financial institutions, and economic policy.
Çağatay Başarır is associate professor of finance and head of the Department of Finance at Bandirma Onyedi Eylul University.
Burak Darıcı is professor and deputy head of the Department of Economics, director of Continuing Education Center, and director of the E-sports and Economics Application Research Center at Bandirma Onyedi Eylül University.
Chapter 1: Analysis of the Impact of the COVID-19 Crisis on the Markets by Mustafa KEVSER
Chapter 2: Effect of COVID-19 on Financial Markets by Mustafa BİLİK and Üzeyir AYDIN
Chapter 3: Investigation of Contagion Effect of Covid-19 Pandemic in Financial Markets
by İnci Merve ALTAN and Metin KILIÇ
Chapter 4: The Impact of COVID-19 on Stock Market Volatility: Evidence from Impulse Response Analysis by Ramazan EKİNCİ
Chapter 5: Cryptocurrency and Crypto Money Markets in COVID-19 Period by İbrahim KÜLÜNK
Chapter 6: Global Financial System and the Monetary Crisis at 2020 by Arzu ALVAN
Chapter 7: Intermediary Institutions and COVID-19: A Comprehensive Financial Analysis
by Lale ASLAN
Chapter 8: Dream of Japanification: A Pandemic Based Analysis by Cem BERK
Chapter 9: Monetary Policy Response to Pandemic in Developing Countries by Tuba GÜLCEMAL
Chapter 10: Central Bank Response in Emerging Economies During Covid-19 by Unay TAMGAÇ TEZCAN
Chapter 11: Investigation of Price Bubbles During COVID-19 Period in the Stock Exchange of Turkey and BRICS by İhsan Erdem KAYRAL
Chapter 12: Dynamic Analysis of the Causality Relationships Between Covid-19 Pandemic and Electricity Consumption: Case of Turkey by Pınar KOÇ and Ahmet GÜLMEZ
Chapter 13: Asymmetric Impacts of Asset Purchase Program and Exchange Rate on Credit Volume in Turkey: Evidence from a Nonlinear ARDL approach by Ahmet USTA
Chapter 14: A Qualitative Research on Adaptation of Bank Headquarters Employees to Teleworking During the Covid-19: Case Turkey by Aslan Tolga ÖCAL
This book, published under the editorship of Başarır and Darıcı, meticulously reflects on the role played by financial markets during the pandemic period, with valuable chapters made by the authors. Since there are very few studies in this field, it will be beneficial for students, especially researchers, and all sectors interested in financial markets.
This work, edited by Çağatay Başarır and Burak Darıcı, takes the picture of the financial markets under the shadow of the COVID19 pandemic, which affected the whole world after 2020. The different and well-chosen topics in the book elaborate on the Financial markets in various dimensions in the pandemic process. For this reason, this book stands out as a key reference source.