Central Bank Review
2001 - 2025
From Research and Monetary Policy Department, Central Bank of the Republic of Turkey Contact information at EDIRC. Bibliographic data for series maintained by () and () and () and (). Access Statistics for this journal.
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Volume 25, issue 1, 2025
- How did credit guarantee fund supports affect the bank-loan network in Türkiye?

- Ayca Topaloglu-Bozkurt and Suheyla Ozyildirim
- User adoption of digital currency: A systematic review and future agenda using TCCM approach

- Vikrant Singh and Mayank Yadav
Volume 24, issue 4, 2024
- Singular spectrum analysis to estimate core inflation in Brazil

- Matheus Fellipe de Oliveira Santos, Rafael Morais de Souza and Wilson Luiz Rotatori Corrˆea
- Bank loan maturity and corporate investment

- Ibrahim Yarba and Burak Deniz
- Domestic inflation decomposition in a small open economy: Evidence from import price dynamics in Kazakhstan

- Zhandos Ybrayev, Bauyrzhan Shamar and Kamilla Mamatova
- Potential impact of introducing a neutral positive countercyclical capital buffer in EU countries

- Pawel Smaga
- Uneven effects of monetary policy: Sectoral disparities in credit card spending

- Hakan Yilmazkuday
Volume 24, issue 3, 2024
- A proposal for a composite indicator based on ratios (CIBOR) to compare the evolution of Spanish financial institutions

- Julián Llorent-Jurado, Ignacio Contreras and Flor María Guerrero-Casas
- A review of the discussion proposal on changes to the EU-wide stress test

- Julián Llorent-Jurado, José Antonio Ordaz-Sanz, María del Carmen Melgar-Hiraldo and Flor María Guerrero-Casas
- Dynamic interconnectedness of economic confidence, energy prices, andinterest rates: Insights from the euro area

- Sabri Burak Arzova, Bertac Sakir Sahin, Hasan Murat Ertugrul and Onur Polat
- The importance of external shocks and global monetary conditions for a small-open economy: The case of Türkiye

- Gulnihal Tuzun
Volume 24, issue 2, 2024
- Estimating time-varying potential output and NAIRU using a multivariate filter for Türkiye pp. 1-12

- Mert Gokcu
- Financial market discipline on bank risk: Implications of state ownership

- Abdullah Kazdal, Yavuz Kilic and Muhammed Hasan Yilmaz
- Monetary policy spillovers between the US and African Central Banks: A time- and frequency-varying connectedness study

- Clement Moyo and Andrew Phiri
Volume 24, issue 1, 2024
- The impact of domestic and global factors on individual public, domestic and foreign bank performances in Türkiye

- Serkan Cicek and Aynur Yildirim
- Economic sentiment and foreign portfolio flows: Evidence from Türkiye

- Didem Gunes, Ibrahim Ozkan and Lutfi Erden
- Banking systems in the euro zone and transmission of monetary policy

- José Alejandro Fernández Fernández
- Transmission and impact of stock market shocks on the world economy

- Luccas Assis Attilio
Volume 23, issue 4, 2023
- Financial literacy and cash holdings in Turkiye

- Mustafa Recep Bilici and Saygin Cevik
- Household portfolios in Türkiye: Results from the household finance and consumption survey

- Evren Ceritoğlu, Seyit Cilasun, Muserref Kucukbayrak and Ozlem Sevinc
- Long shadows of the walking dead on economic activity

- Nazire Nergiz Dincer, Pelin Pektekin and Ayça Tekin-Koru
Volume 23, issue 3, 2023
- A comparative analysis of the financial performance of commercial banks after mergers and acquisitions using Nepalese data

- Baburam Adhikari, Marie Kavanagh and Bonnie Hampson
- Heterogeneous effect of exchange rates on firms’ exports: Role of labor intensity

- Kurmaş Akdoğan, Yusuf Bağır and Huzeyfe Torun
- Credit growth and current account balance

- Aysu Celgin, Okan Eren and Pınar Özbay Özlü
Volume 23, issue 2, 2023
- Compliance with the Basel Core Principles and supervisory structure: A cross-country analysis

- Maria Teresa Garcia and Frederico Cavaleiro de Mendonca
- Anticipation of central banks' adoption of inflation targeting and its effect on inflation

- Amlendu Dubey and Akanksha Mishra
- Household debt, heterogeneity and financial stability: Evidence from Kazakhstan

- Alisher Aldashev and Birzhan Batkeyev
Volume 23, issue 1, 2023
- Market concentration and producer prices

- Huzeyfe Torun and Ahmet Duhan Yassa
- The determinants of savings rates in OECD countries: The role of private pensions

- Pinar Gebesoglu, Hasan Ertugrul and Umit Bulut
- Inflation, perception of economic uncertainty and COVID-19: Evidence from Central Bank communication

- Pierre Hitalo Nascimento Silva and Jevuks Araujo
Volume 22, issue 4, 2022
- Modeling and estimation of synchronization in size-sorted portfolio returns pp. 129-140

- Cem Cakmakli, Richard Paap and Dick van Dijk
- Does exporting create employment? Evidence from Turkish manufacturing pp. 141-148

- Mustafa Ozsari, Yilmaz Kilicaslan and Ünal Töngür
- Network structure of Turkish interbank market pp. 149-161

- Tuba Pelin Sumer and Suheyla Ozyildirim
Volume 22, issue 3, 2022
- Covid-19, sovereign risk and monetary policy: Evidence from the European Monetary Union pp. 99-107

- Secil Yildirim Karaman
- Is bank risk appetite relevant to bank default in times of Covid-19? pp. 109-117

- Pei-Ling Lee, Chun-Teck Lye and Chin Lee
- Bootstrap-DEA management efficiency and early prediction of bank failure: Evidence from 2008-2009 U.S. bank failures pp. 119-127

- Abdus Samad and Vaughn S. Armstrong
Volume 22, issue 2, 2022
- Exchange rate volatility and export in Turkey: Does the nexus vary across the type of commodity? pp. 77-89

- Dogukan Tarakci, Fevzi Olmez and Dilek Durusu-Ciftci
- How can a central bank exit quantitative easing without rapidly shrinking its balance sheet? pp. 91-98

- Atsushi Tanaka
Volume 22, issue 1, 2022
- Potential growth in Turkey: Sources and trends pp. 1-25

- Orhun Sevinc, Ufuk Demiroglu, Emre Cakir and E. Meltem Bastan
- Consumer loan rate dispersion and the role of competition: Evidence from Turkish banking industry pp. 27-47

- Selva Bahar Baziki, Yavuz Kiliç and Muhammed Hasan Yilmaz
- Analysis of the impacts of safeguard actions: Evidence from Turkey pp. 49-56

- Volkan Sezgin
- Factors determining the location decision: Analysis of location choice preferences of the ICI-1000 companies with the nested logit model pp. 55-75

- Busra Akin and Umit K. Seyfettinoglu
Volume 21, issue 4, 2021
- Liquidity transformation, collateral assets and counterparties pp. 119-129

- Calebe de Roure and Nick McLaren
- The impacts of international capital flows on household credits pp. 131-140

- Bilal Cayir
- Can central bank speeches predict financial market turbulence? Evidence from an adaptive NLP sentiment index analysis using XGBoost machine learning technique pp. 141-153

- Anastasios Petropoulos and Vasilis Siakoulis
- Covid 19 and the Turkish labor market: Heterogeneous effects across demographic groups pp. 155-163

- Altan Aldan, Muhammet Enes Cirakli and Huzeyfe Torun
Volume 21, issue 3, 2021
- Card spending dynamics in Turkey during the COVID-19 pandemic pp. 71-86

- Zeynep Kantur and Gülserim Özcan
- Heterogeneous provincial prices and monetary policy in South Africa: A wavelet-based quantile regression analysis pp. 87-103

- Abdul-Aziz Iddrisu and Imhotep Alagidede
- Domestic demand and exports: Evidence from Turkish firms pp. 105-118

- Selcuk Gul
Volume 21, issue 2, 2021
- Hidden reserves as an alternative channel of firm finance pp. 39-48

- Ibrahim Yarba
- A measure of Turkey's sovereign and banking sector credit risk: Asset swap spreads pp. 49-57

- Doruk Kucuksarac, Abdullah Kazdal, Halil Ibrahim Korkmaz and Yigit Onay
- Okun’s law under the demographic dynamics of the Turkish labor market pp. 59-69

- Evren Erdogan Cosar and Ayse Arzu Yavuz
Volume 21, issue 1, 2021
- The new investment landscape: Equity crowdfunding pp. 1-16

- Burze Yasar
- Do regional house prices converge? Evidence from a major developing economy pp. 17-24

- Aytul Ganioglua and Ünal Seven
- The asymmetric J-curve phenomenon: Kenya versus her trading partners pp. 25-34

- Moses Mutharime Mwito, Beatrice K.Mkenda and Eliab Luvanda
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