Journal of BRSA Banking and Financial Markets
2007 - 2026
From Banking Regulation and Supervision Agency Contact information at EDIRC. Bibliographic data for series maintained by Sumeyye Azize CENGIZ (). Access Statistics for this journal.
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Volume 7, issue 2, 2013
- Classification of Turkish Commercial Banks Under Fuzzy c-Means Clustering pp. 13-36

- Ismail Hakki Gokgoz, Fatih Altinel, F.Pinar Yetkin Gokgoz and Ilker Koc
- The Overnight Currency Swap Rates and ISE Overnight Repo Rates pp. 37-53

- Doruk Küçüksaraç and Ozgur Ozel
- Investor Sentiment Proxies: An Example of Closed end Fund Discount and Consumer Confidence Index pp. 55-75

- Serkan Yilmaz Kandir, Gozde Cerci and Onder Uzkaralar
- The Relationship Between Inflation and Inflation Uncertainty Under Different Monetary Policy Regimes pp. 77-99

- Bulent Dogru
- An Empirical Investigation of the Uncertain Information Hypothesis: Evidence From Borsa Istanbul pp. 101-119

- Soner Akkoc and Nasif Ozkan
Volume 7, issue 1, 2013
- Income Diversification and Bank Performance: Evidence From Turkish Banking Sector pp. 9-29

- Ali Osman Gurbuz, Serhat Yanik and Yusuf Ayturk
- Inflation Targeting in Turkey: A Story of Success? pp. 31-58

- Ergun Ermisoglu
- The Effects of Exchange Rate Fluctuations on Corporations and Evidence from Turkey pp. 59-78

- Ali Hakan Mutluay and Tuncay Turan Turaboglu
- Construction of a Regional Financial Inclusion Index in Turkey pp. 79-101

- Recep Yorulmaz
- The Impact of Macroeconomic Factors on Futures Contracts: An Application on Turkdex pp. 103-136

- Hasibe Ozgumus, Turhan Korkmaz and Emrah Çevik
- The Effects of Real Exchange Rate Changes on Turkey's Foreign Trade Performance within the Framework of the Extended Marshall-Lerner Condition: Time Series Analysis with Multiple Structural Breaks pp. 137-157

- Ismet Gocer and Bekir Elmas
Volume 6, issue 2, 2012
- The Determinants of Net Interest Margin in the Turkish Banking Sector: Does Bank Ownership Matter? pp. 13-49

- Fatih Kansoy
- An Analysis of Intraday Patterns and Liquidity on the Istanbul Stock Exchange pp. 51-84

- Bülent Köksal
- Financial Development and Economic Growth: A Causality Analysis for Turkey pp. 85-111

- Orhan Karaca
- Liquidty Analysis of Government Securities in the Secondary Market and Recommendations for its Improvement pp. 113-146

- Mahmut Kara
- Investigating the Effects of Corporate Diversification Using the Berger and Ofek Methodology: An Application of Turkey pp. 147-184

- Emel Yucel, Mehmet Ozmen and Yildirim Beyazit Onal
- Financial Crises Contagion: Analysis of the Crise Contagion on the Conditional Volatility of ISE pp. 185-223

- Engin Cetinkaya and Erdinc Altay
Volume 6, issue 1, 2012
- Credit Risk Macro Stress Test Model for Turkish Banking Industry pp. 9-44

- Ebru SONBUL Iskender
- The Analysis Of The Relation Between Investor Risk Appetite And Stock Market Crises In Istanbul Stock Exchange pp. 45-79

- Erdinc Altay and Burcay YASAR Akcali
- Are Bankers Successful in Forecasting the Direction of Credit Volume and Interest rates? pp. 81-102

- Defne Mutluer Kurul
- The Effect Of Short Term Interest Rates On Long Term Interest Rates In Turkey (2002-2011) pp. 103-131

- Ahmet Sengonul and Sabri Genc
- Analyzing of Relationship among stock markets of the US, Germany and Turkey with MS-VAR Model pp. 133-155

- Emrah Çevik, Nuket Kirci Cevik and Serhan Gurkan
Volume 5, issue 2, 2011
- Bank Managers Perception of Ethical and Legal Conduct in Emerging Markets During the Post-Crises Period: Evidence From Turkish Banking Sector pp. 11-50

- Emine Gunay and Ayfer Hortacsu
- Testing Profitability of Momentum Investment Strategy in ISE pp. 51-70

- Serkan Yilmaz Kandir and Halime Inan
- Efficiency, Productivity and Risk Analysis in Turkish Banks: A Bootstrap DEA Approach pp. 71-134

- Muge Diler
- The Analysis of Socio-Economic and Demographic Factors Effecting the Risk Taking Behaviour of Individual Investors pp. 135-158

- Mehmet Sarac and Mehmet Burak Kahyaoglu
- Impact of Firm Attributes on the Efficiency of Brokerage Houses pp. 159-181

- Hakan Aygoren and M.Ensar Yesilyurt
Volume 5, issue 1, 2011
- The Effect of Financial Pressure on the Banking Lending Policy: A Review under the 2008 Global Crisis on the Turkey pp. 9-34

- Ekrem Erdem, M. Fatih Ilgun and Cüneyt Dumrul
- The Effects of Real and Nominal Shocks on Real and Nominal Exchange Rates: The Case of Turkey pp. 35-72

- Ahmet Murat Alper
- The Effect of Macroeconomic Factors on Stock Returns: A Study of Turkey and Emerging Markets pp. 73-96

- Güven Sayilgan and Cemil Süslü
- The Effects of Currency Futures Trading on Turkish Currency Market pp. 97-109

- Arif Oduncu
Volume 4, issue 2, 2010
- Determination Factors of Affecting Individuals’ Acceptance of Internet Banking with Structural Equation Model pp. 11-38

- Talha Ustasuleyman and Kemal Eyuboglu
- Efficiency Measurement in Deposit Banks Using Data Envelopment Analysis and Data Mining pp. 67-84

- Ibrahim Halil Seyrek and H. Ali Ata
- An Analysis of Time Inconsistency in Turkey with ARDL Method pp. 85-110

- Bora Suslu and Selahattin Bekmez
- The Legal Characteristics of Liability Arising From the Potential Damages for Third Parties due to the Ratings of Rating Agencies pp. 111-144

- Erkan Eren
Volume 4, issue 1, 2010
- Banking Crises and Early Warning Systems: A Model Suggestion for Turkish Banking Sector pp. 9-46

- K. Batu Tunay
- Uses of Variance and Lower Partial Moment Measures for Portfolio Optimization pp. 47-73

- Güven Sayilgan and Arma Deger Mut
- A Comparative Analysis of Individual and Ensemble Credit Scoring Techniques in Evaluating Credit Card Loan Applications pp. 74-90

- Huseyin Ince and Bora Aktan
- Shock and Volatility Interaction Between The Sector Indexes of Istanbul Stock Exchange pp. 91-104

- Ekin Tokat
- Determinants of Capital Structure: An Analysis on the Largest 1000 Industrial Firms in Turkey pp. 105-120

- H. Aydin Okuyan and H. Mehmet Tasci
Volume 3, issue 2, 2009
- The Effect of Interest Rates on Consumer Credit in Turkey pp. 11-30

- Mustafa İbicioğlu and Mehmet Baha Karan
- An Evaluation on the Determinants of FinancialDevelopment: Literature Survey pp. 31-62

- Hüseyin Agir, Osman Peker and Muhsin Kar
- Alternative Approaches for Estimating Value at Risk pp. 63-86

- Mert Ural
- Volatility Spillover Effect from Volatility Implied Index to Emerging Markets pp. 87-106

- Turhan Korkmaz and Emrah Çevik
- An Empirical Analysis of Short Term Interest Rate Models for Turkey pp. 107-119

- Hasan Sahin and Ismail Genc
Volume 3, issue 1, 2009
- Predicting Bank Bankruptcies with Neuro Fuzzy Method pp. 9-36

- Birol Yildiz and Soner Akkoç
- A Proposal of Settlement Power for Turkish Capital Markets pp. 37-62

- Saim Kiliç, Ali Alp and Adem Sahin
- Testing the Validity of Financial Liberalization Policies under the Framework of McKinnon’s Complementarity Hypothesis: The Case of Turkey pp. 63-80

- Aycan Hepsag
- Investigation of Prudent Investment Hypothesis in ISE pp. 81-100

- Serkan Yilmaz Kandir
- Unfavorable Business Environment and Foreign Direct Investment Activities of Turkish Manufacturing Firms pp. 101-118

- Harun Kaya
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