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Empirical Analysis of Turkish Banking Sector Institutional and Macroeconomic Determinants of Risks

Year 2024, , 59 - 98, 04.09.2024
https://doi.org/10.26650/ISTJECON2023-1288872

Abstract

This research examines the macroeconomic and institutional sources of individual, systemic, and systematic risks in the Turkish banking sector. The period between 2008:Q3 and 2019:Q3 of the nine deposit banks selected for this purpose were estimated using panel data analysis estimators. The results indicate that selected macroeconomic and institutional variables affect banking risks. These findings are important for revealing the institutional and macroeconomic sources of risks in the Turkish banking sector. Therefore, the results contain significant propositions for researchers, market participants, and politicians. Market participants and researchers can anticipate defaults and financial instability using selected macroeconomic and institutional variables. The estimation results reveal Turkish banks’ institutional soundness and financial performance strength. In addition, the extent to which banks are effective intermediaries in the sector was analysed. This research documented a strong link between global market indicators and banking risks.

JEL Classification : E44 , G20 , G21

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Year 2024, , 59 - 98, 04.09.2024
https://doi.org/10.26650/ISTJECON2023-1288872

Abstract

Thanks

Sayın editör, size ve dergi yönetimindeki kıymetli hoca ve görevlilere emeklerinizden dolayı şimdiden çok teşekkür ederiz.

References

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There are 146 citations in total.

Details

Primary Language English
Subjects Business Administration
Journal Section Research Article
Authors

Hikmet Akyol 0000-0001-9119-7416

Selim Başar 0000-0002-7055-8240

Publication Date September 4, 2024
Submission Date April 28, 2023
Published in Issue Year 2024

Cite

APA Akyol, H., & Başar, S. (2024). Empirical Analysis of Turkish Banking Sector Institutional and Macroeconomic Determinants of Risks. İstanbul İktisat Dergisi, 74(1), 59-98. https://doi.org/10.26650/ISTJECON2023-1288872
AMA Akyol H, Başar S. Empirical Analysis of Turkish Banking Sector Institutional and Macroeconomic Determinants of Risks. İstanbul İktisat Dergisi. September 2024;74(1):59-98. doi:10.26650/ISTJECON2023-1288872
Chicago Akyol, Hikmet, and Selim Başar. “Empirical Analysis of Turkish Banking Sector Institutional and Macroeconomic Determinants of Risks”. İstanbul İktisat Dergisi 74, no. 1 (September 2024): 59-98. https://doi.org/10.26650/ISTJECON2023-1288872.
EndNote Akyol H, Başar S (September 1, 2024) Empirical Analysis of Turkish Banking Sector Institutional and Macroeconomic Determinants of Risks. İstanbul İktisat Dergisi 74 1 59–98.
IEEE H. Akyol and S. Başar, “Empirical Analysis of Turkish Banking Sector Institutional and Macroeconomic Determinants of Risks”, İstanbul İktisat Dergisi, vol. 74, no. 1, pp. 59–98, 2024, doi: 10.26650/ISTJECON2023-1288872.
ISNAD Akyol, Hikmet - Başar, Selim. “Empirical Analysis of Turkish Banking Sector Institutional and Macroeconomic Determinants of Risks”. İstanbul İktisat Dergisi 74/1 (September 2024), 59-98. https://doi.org/10.26650/ISTJECON2023-1288872.
JAMA Akyol H, Başar S. Empirical Analysis of Turkish Banking Sector Institutional and Macroeconomic Determinants of Risks. İstanbul İktisat Dergisi. 2024;74:59–98.
MLA Akyol, Hikmet and Selim Başar. “Empirical Analysis of Turkish Banking Sector Institutional and Macroeconomic Determinants of Risks”. İstanbul İktisat Dergisi, vol. 74, no. 1, 2024, pp. 59-98, doi:10.26650/ISTJECON2023-1288872.
Vancouver Akyol H, Başar S. Empirical Analysis of Turkish Banking Sector Institutional and Macroeconomic Determinants of Risks. İstanbul İktisat Dergisi. 2024;74(1):59-98.