TY - JOUR TT - The Relationship Between Concentration And Financial Fragility In Banking Sector:The Case Of Turkey (2007-2014) AU - Korkmaz, Özge AU - Erer, Deniz AU - Erer, Elif PY - 2016 DA - January DO - 10.25095/mufad.396665 JF - Muhasebe ve Finansman Dergisi PB - Muhasebe ve Finansman Öğretim Üyeleri Bilim ve Araştırma Derneği WT - DergiPark SN - 2146-3042 SP - 127 EP - 146 IS - 69 KW - Yoğunlaşma KW - Finansal Kırılganlık KW - Bankacılık Sektörü KW - Panel Veri Analizi. N2 - Determining of the effects of the concentration appearing in banking sector on financial fragility is extremely importance. In the theory, this relationship discusses within the frame of “competition-stability” and “competition-fragility”. The aim of this study is to determine which variables financial fragility in banking sector affects, and to present short-run and long-run effects of these variables and the effect of concentration on financial fragility with reference to the example of Turkey over the period of 2007:01-2014:09. In this regard, it is taken advantage of Pearson correlation matrix, panel classical regression equations and Holtz-Eakin causality analysis. It is infered from the casuality analysis performed that there is two-way interaction between concentration and financial fragility in Turksih banking sector. UR - https://doi.org/10.25095/mufad.396665 L1 - https://dergipark.org.tr/tr/download/article-file/427794 ER -