This study investigates the factors that were important in the failure of banks in 1997-2006. The study uses cross-section time series data from 81 banks and employs limited dependent variable models. The major objectives are to examine the determinants of bank failures by explaining the contribution of both microeconomic and macroeconomic factors in the Turkish banking system and to estimate the likelihood of banking failure.Publisher's Versio
The aim of this study is to set the early warning models for the prediction of financial failures of...
The objective of this paper is to propose a methodological framework for constructing the integrated...
In the last fifteen years four crisis episodes occurred in the Turkish economy in April 1994, Februa...
This study investigates the factors that were important in the failure of 36 banks in 1997-2006. The...
Banking risk management has become more important during the last 20 years in response to a worldwid...
This study examines the significant variables of banking fragility of participation banks in Turkey....
Financial crisis in 2007, affecting the whole world, revealed the significance of early prediction ...
The purpose of this thesis is to empirically investigate the micro and the macro determinants of ban...
1980'li yıllarda uygulamaya sokulan liberalleşme politikalarını takiben aynı dünya ekonomisinde oldu...
Son dönemlerde dünya ekonomisi ciddi kriz atakları ile karşı karşıya kalmıştır. Bu krizlerin birçoğu...
In the last few years Turkey experienced a serious financial crisis. In the aftermath of this crisis...
This paper uses a multinomial probit model to analyze individuals' choice of banks based on the type...
Bu çalışmada, Türk bankacılık sektörünün finansal kriz dönemlerinde uğradığı kaybın ölçülebilmesi iç...
This paper studies bank failures in EU-12 countries before and after the financial crisis of 2007-20...
Baking crises are caused by the loss of solvency in banking system. The underlying factors can be at...
The aim of this study is to set the early warning models for the prediction of financial failures of...
The objective of this paper is to propose a methodological framework for constructing the integrated...
In the last fifteen years four crisis episodes occurred in the Turkish economy in April 1994, Februa...
This study investigates the factors that were important in the failure of 36 banks in 1997-2006. The...
Banking risk management has become more important during the last 20 years in response to a worldwid...
This study examines the significant variables of banking fragility of participation banks in Turkey....
Financial crisis in 2007, affecting the whole world, revealed the significance of early prediction ...
The purpose of this thesis is to empirically investigate the micro and the macro determinants of ban...
1980'li yıllarda uygulamaya sokulan liberalleşme politikalarını takiben aynı dünya ekonomisinde oldu...
Son dönemlerde dünya ekonomisi ciddi kriz atakları ile karşı karşıya kalmıştır. Bu krizlerin birçoğu...
In the last few years Turkey experienced a serious financial crisis. In the aftermath of this crisis...
This paper uses a multinomial probit model to analyze individuals' choice of banks based on the type...
Bu çalışmada, Türk bankacılık sektörünün finansal kriz dönemlerinde uğradığı kaybın ölçülebilmesi iç...
This paper studies bank failures in EU-12 countries before and after the financial crisis of 2007-20...
Baking crises are caused by the loss of solvency in banking system. The underlying factors can be at...
The aim of this study is to set the early warning models for the prediction of financial failures of...
The objective of this paper is to propose a methodological framework for constructing the integrated...
In the last fifteen years four crisis episodes occurred in the Turkish economy in April 1994, Februa...