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Başkaraağaç, Nermin

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Yaşar Başkaraağaç, Nermin
Yasar, Nermin
Baskaraagac, N.Y.
Baskaraagac, Nermin Yasar
Job Title
Dr. Öğr. Üyesi
Email Address
nerminyasar@cankaya.edu.tr
Main Affiliation
03.06. Uluslararası Ticaret ve Finansman
Uluslararası Ticaret ve Finansman
03. İktisadi ve İdari Birimler Fakültesi
01. Çankaya Üniversitesi
Status
Current Staff
Website
Scopus Author ID
Turkish CoHE Profile ID
Google Scholar ID
WoS Researcher ID

Sustainable Development Goals

13

CLIMATE ACTION
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1

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8

DECENT WORK AND ECONOMIC GROWTH
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3

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3

GOOD HEALTH AND WELL-BEING
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15

LIFE ON LAND
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PARTNERSHIPS FOR THE GOALS
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1

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LIFE BELOW WATER
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4

QUALITY EDUCATION
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SUSTAINABLE CITIES AND COMMUNITIES
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CLEAN WATER AND SANITATION
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10

REDUCED INEQUALITIES
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INDUSTRY, INNOVATION AND INFRASTRUCTURE
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RESPONSIBLE CONSUMPTION AND PRODUCTION
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2

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NO POVERTY
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AFFORDABLE AND CLEAN ENERGY
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GENDER EQUALITY
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PEACE, JUSTICE AND STRONG INSTITUTIONS
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This researcher does not have a Scopus ID.
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Scholarly Output

4

Articles

3

Views / Downloads

201/14

Supervised MSc Theses

0

Supervised PhD Theses

0

WoS Citation Count

10

Scopus Citation Count

17

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1

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1

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WoS Citations per Publication

2.50

Scopus Citations per Publication

4.25

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1

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JournalCount
Econometrics Letters1
Fiscaoeconomia1
Foreign Trade Review1
The ESG Framework and the Energy Industry: Demand and Supply, Market Policies and Value Creation1
Current Page: 1 / 1

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Scholarly Output Search Results

Now showing 1 - 4 of 4
  • Article
    The Stochastic Futures of the Natural Gas Prices: Russian Federation in Caspian Region
    (2014) Yaşar Başkaraağaç, Nermin
    This study examines the convergence hypothesis of natural gas price series of Russian Federation and USA using both linear and nonlinear time series techniques Russian Federation and USA during the period of 1991-2011. Although the linear Augmented Dickey Fuller (ADF), Philips Perron (PP), test provide evidence of the existence of a unit root, which means that the series are nonstationary, KPSS test result support the null hypothesis of existence of the stationary series. A nonlinear test as an alternative approach to investigate whether there are nonlinearities in the series is also taken into consideration. KSS, the nonlinear testing procedure provide some supportive evidence of a nonlinear price convergence among the Russian Federation and USA.
  • Book Part
    Citation - Scopus: 1
    The Causal Relationship Between Esg and Economic Growth: Evidence From the Panel of Commonwealth Independent States
    (Springer International Publishing, 2024) Baskaraagac, N.Y.
    This paper analyzes the causal relationship between ESG and economic growth for CIS member states over the sample period 1996–2020. Since the results of the varied panel stationarity tests suggest mixed findings on the order of integration, the ARDL model is employed to determine the co-integration relation among the series. The result of the VEC model, which is estimated to explore the long-run and short-run dynamics of this casual relation between the series in a basic way, suggests that there is a causal relationship running from income level to ESG criteria. This implies that the adaptation of macroeconomic policies which will stimulate the economic growth process in CIS countries may also encourage the ESG indicator levels of the economy. © The Editor(s) (if applicable) and The Author(s), under exclusive license to Springer Nature Switzerland AG 2024.
  • Article
    Citation - WoS: 10
    Citation - Scopus: 16
    The Causal Relationship Between Foreign Debt and Economic Growth: Evidence From Commonwealth Independent States
    (Sage Publications india Pvt Ltd, 2021) Yasar, Nermin
    This study investigates the relationship between external borrowing and eco-nomic growth in the Commonwealth Independent States during the period 1995-2018. Autoregressive distributed lag (ARDL) model is employed to determine the co-integration relationship among the series and then vector error correction model (VECM) is used to analyse the causality between external debt and income.The obtained results suggest that there is a negative long-term unidirectional causal relationship running from external debt to GDP presenting a strong evidence of existence of debt overhang hypothesis.The possible reasons for this unidirectional causal relationship can be explained by poor management of provided financial resources and incomplete governance in economic transition process along with structural rigidities and immature institutions in these countries which, in the long term, resulted in insufficient capital charged to service external debt.The policymakers in these post-Soviet countries should not use foreign loans to capitalise the deficits in the economies; instead, they should be more determined in employing these funds in the areas that will create national value-added production and, thus, future income.
  • Article
    Income Disparity, Institutional Effectiveness, and Environmental Decline in Post-Soviet Economies: Insights from VEC and VAR Causality Methods
    (2025) Baskaraagac, Nermin Yasar
    Bu çalışma, gelişmiş panel veri tekniklerini kullanarak 1996-2020 dönemi için post-Sovyet ekonomilerinde gelir eşitsizliği ve kurumsal etkinlik ile çevresel bozulma arasındaki nedensellik ilişkisini incelemektedir. Granger nedensellik sürecinin araştırılması için iki alternatif yöntem olarak Vektör Hata Düzeltme (VHD) modeli ve Toda & Yamamoto (1995) tarafından geliştirilen VAR modeli kullanılmıştır. Temel bulgumuz, VHD modeli sonuçlarına göre gelir eşitsizliği ve kurumsal kalite ile karbondioksit emisyonu arasında nedensel bir ilişki ortaya çıkmamasına rağmen Toda-Yamamoto yaklaşımı, Gini endeksinden ve yolsuzluk kontrolü, hükümet etkinliği, düzenleyici kalite ve hukukun üstünlüğü gibi kurumsal kalite göstergelerinden karbondioksit emisyonuna doğru ilerleyen bir nedensellik ilişkisinin bulunduğunu öne sürmektedir. Elde ettiğimiz sonuçlara esasen, gözlemlenen ülkelerde güçlü kurumlar, çevre politikalarının uygulanmasını destekler, sürdürülebilirliği teşvik eder ve düzenlemelere uyumu ve sorumlu kaynak kullanımını sağlayarak emisyonları azaltır. Diğer yandan, gelir eşitsizliği tüketim farklılıklarına ve temiz teknolojilere sınırlı erişime yol açarak karbon emisyonlarının artmasına ve çevresel bozulmaya neden olabilmektedir. Bu durum, sağlam çevre düzenlemeleri ve yönetişimin yanı sıra adil ekonomik politikaların benimsenmesinin zorunlu olduğu Sovyet sonrası ekonomiler için geçerli olmaktadır.