The aim of this study is to examine recent history of international financial trends, particularly foreign direct investments, considered as both the reason and the result of financial liberalization within the framework spatial distribution. For this purpose analysing the financial trends from the perspective of developing countries which could be facing speculative attacks as a result of financial liberalization, the aforementioned countries have been analysed within the concept of foreign direct investments having a more stable structure with respect to other capital movements. Effects of global economic crisis on these trends have been tried to be proved by examining foreign direct investment components in terms of developed and developing countries. Financial tribulance during crisis increases and this leads the developing countries to have the opportunity to get more benefit from mentioned markets. In conclusion, how these opportunities could be used for which goals has been discussed
The aim of this study is to examine the recent history of international financial trends,
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