Osmanlı Devleti’nde Mali Bunalım ve Reform

Mustafa Sakal, Ali Gökhan Gölçek
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引用次数: 2

Abstract

The Ottoman State faced with many financial and administrative crises, especially after the 16th century. As well as the relevant crisis periods are called as depressed ones, they also have an important place in terms of fading of the state after the rising period of that. In this context, as the comprehension between arm and finance began to weaken, the crises began to become chronic and caused the state to regress and enter into a period of disintegration. Although appearance of the crises may seem because of the administrative reasons, it would generally be more appropriate to attribute them to the developments in the west. The Ottoman State stayed behind the European states due to the reasons such as especially renaissance and reform movements, industrial revolution, development of capitalist production system etc, and couldn’t keep pace with new order. However, the factors such as the inability to win wars, corruption of land management applied, inadequate production in domestic market, and some financial disruptions have also been identified as factors that trigger the crisis in the Ottoman State. In this study, the causes of the financial crisis in the Ottoman Empire will be examined, and how the changes performed to overcome the financial crisis resulted will be discussed.Besides, the topic of that to what extent a set of essential innovation movements organized by management straightened the financial structure establishes the original aspect of the study.
奥斯曼帝国面临着许多财政和行政危机,特别是在16世纪之后。与之相关的危机时期也被称为萧条时期,但它们在国家崛起之后的衰落中也占有重要的地位。在这种背景下,随着武装和金融之间的理解开始减弱,危机开始成为慢性病,并导致国家倒退并进入解体时期。虽然危机的出现似乎是由于行政原因,但通常将其归因于西方的发展更为合适。由于文艺复兴和改革运动、工业革命、资本主义生产制度的发展等原因,奥斯曼帝国一直落后于欧洲各国,无法跟上新秩序的步伐。然而,诸如无法赢得战争、土地管理腐败、国内市场生产不足以及一些金融混乱等因素也被认为是引发奥斯曼国危机的因素。在本研究中,奥斯曼帝国金融危机的原因将被检查,以及如何进行的变化,以克服金融危机的结果将被讨论。此外,一系列由管理层组织的本质创新运动在多大程度上矫正了财务结构这一主题是本研究的原创性方面。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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