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WHAT IS THE EXTENT OF RESEARCH ON FINANCE AND BANKING IN TÜRKİYE? A BIBLIOMETRIC ANALYSIS

Yıl 2024, Sayı: 48, 845 - 878, 31.12.2024
https://doi.org/10.14520/adyusbd.1588284

Öz

This study aims to provide a bibliometric literature review of the literature on Türkiye in the field of finance and banking. Within the scope of the study, the literature related to Türkiye in the field of finance and banking published in the "Economics, Business Finance and Business" categories indexed in the Web of Science (WoS) database was reviewed. The data obtained within the scope of the study, which covers the years 1980-2024/January, were classified, and analyzed using the VOSviewer program, one of the many software developed for scientific mapping analysis and presented with visual mapping methods. We analyzed 1,956 articles in 476 different journals indexed in the Web of Science (WoS) database in the relevant period and on related topics. Within the scope of the study, it was determined which countries, institutions and academics were particularly influential. The results of the analysis revealed an increase in the number of publications of Turkish academics over the years. The number of publications in other countries has followed a more stable course over the years. The study also reveals the mainstream finance journals of finance and banking studies that include Türkiye in the scope of the study and shows that these journals have a particularly high level of increasing academic influence. The study makes an important contribution to the literature as it evaluates the data of a country like Türkiye, which is closely related to the world economies, and as far as we know, it is the first study to do so in the literature.

Kaynakça

  • Agapova, A., & Vishwasrao, S. (2020). Financial sector foreign aid and financial intermediation. International Review of Financial Analysis, 72, 101589. https://doi.org/10.1016/j.irfa.2020.101589
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  • Akturk, A. O. (2022). Thirty-five years of the Journal of Computer Assisted Learning: A bibliometric overview. Journal of Computer Assisted Learning, 38(5), 1220–1253. https://doi.org/10.1111/jcal.12686
  • Akyüz, Y., & Boratav, K. (2003). The making of the Turkish financial crisis. World Development, 31(9), 1549–1566. https://doi.org/10.1016/S0305-750X(03)00108-6
  • Alkan, B., & Çiçek, S. (2020). Spillover effect in financial markets in Turkey. Central Bank Review, 20(2), 53–64. https://doi.org/10.1016/j.cbrev.2020.02.003
  • Arık, M., Afşar, B., Kazak, H. & Akcan, A. T. (2023). Examination of renewable energy in the discipline of economics: content and bibliometric mapping analysis, Five Zero, 3(2), 300-327. https://doi.org/10.54486/fivezero.2023.30
  • Atabey, A.Ö. & Karakuş, M. (2022). Kripto Para Piyasası ile Borsa İstanbul Arasındaki İlişkinin Analizi: Toda-Yamamoto Nedensellik Testi, Five Zero, 2(2), 97-110.
  • Aydin, S., Ozer, G., & Arasil, O. (2005). Customer loyalty and the effect of switching costs as a moderator variable A case in the Turkish mobile phone market. Marketing Intelligence & Planning, 23(1), 89–103. https://doi.org/10.1108/02634500510577492
  • Azman-Saini, W. N. W., Baharumshah, A. Z., & Law, S. H. (2010). Foreign direct investment, economic freedom and economic growth: International evidence. Economic Modelling, 27(5), 1079–1089. https://doi.org/10.1016/j.econmod.2010.04.001
  • Babakus, E., Yavas, U., Karatepe, O. M., & Avci, T. (2003). The effect of management commitment to service quality on employees’ affective and performance outcomes. Journal of The Academy of Marketing Science, 31(3), 272–286. https://doi.org/10.1177/0092070303031003005
  • Bandiera, O., Caprio, G., Honohan, P., & Schiantarelli, F. (2000). Does financial reform raise or reduce saving? Review of Economics And Statistics, 82(2), 239–263. Conference on Saving Across the World. https://doi.org/10.1162/003465300558768
  • Bash, A., & Al-Awadhi, A. M. (2023). Central Bank Independence and stock market outcomes: An event study on Borsa Istanbul. Cogent Economics & Finance, 11(1), 2186032. https://doi.org/10.1080/23322039.2023.2186032
  • Baziki, S. B., Kilic, Y., & Yilmaz, M. H. (2022). Consumer loan rate dispersion and the role of competition: Evidence from Turkish banking industry. Central Bank Review, 22(1), 27–47. https://doi.org/10.1016/j.cbrev.2022.01.001
  • Beck, T., & Demirguc-Kunt, A. (2006). Small and medium-size enterprises: Access to finance as a growth constraint. Journal of Banking & Finance, 30(11), 2931–2943. https://doi.org/10.1016/j.jbankfin.2006.05.009
  • Beck, T., Demirgüç-Kunt, A., & Levine, R. (2000). A New Database on the Structure and Development of the Financial Sector. The World Bank Economic Review, 14(3), 597–605. https://doi.org/10.1093/wber/14.3.597
  • Cayir, B. (2021). The impacts of international capital flows on household credits. Central Bank Review, 21(4), 131–140. https://doi.org/10.1016/j.cbrev.2021.12.001
  • Cayirli, O., Kayalidere, K., & Aktas, H. (2024). Conditional impact of credit growth on macroeconomic and financial aggregates: Evidence from Turkiye. International Journal of Emerging Markets, 19(2), 339–366. https://doi.org/10.1108/IJOEM-09-2021-1448
  • Cetin, H., & Guclu, A. (2022). Earnings Management Practices in Banks: An Analysis of Participation and Investment Banks in Turkiye. Sosyoekonomi, 30(53), 465–486. https://doi.org/10.17233/sosyoekonomi.1052700
  • Choong, C.-K., Baharumshah, A. Z., Yusop, Z., & Habibullah, M. S. (2010). Private capital flows, stock market and economic growth in developed and developing countries: A comparative analysis. Japan and the World Economy, 22(2), 107–117. https://doi.org/10.1016/j.japwor.2009.07.001
  • Ciftci, I., Tatoglu, E., Wood, G., Demirbag, M., & Zaim, S. (2019). Corporate governance and firm performance in emerging markets: Evidence from Turkey. International Business Review, 28(1), 90–103. https://doi.org/10.1016/j.ibusrev.2018.08.004
  • Coşkun, A., & Aypek, N. (2023). Covid-19 Öncesi ve Döneminde Seçilmiş Makroekonomik Değişkenler Arasındaki İlişkinin İncelenmesi. Pamukkale Üniversitesi Sosyal Bilimler Enstitüsü Dergisi, 58, Article 58. https://doi.org/10.30794/pausbed.1275054
  • Çiftçi, T. E. (2024). Karbon vergisi çalışmalarında bibliyometrik analiz. Five Zero, 4(1), 1-24. https://doi.org/10.54486/fivezero.2024.33
  • Čihák, M., Demirgüč-Kunt, A., Feyen, E., & Levine, R. (2013). Financial Development in 205 Economies, 1960 to 2010 (Working Paper 18946). National Bureau of Economic Research. https://doi.org/10.3386/w18946
  • Cisek, S., & Yildirim, A. (2024). The impact of domestic and global factors on individual public, domestic and foreign bank performances in Türkiye. Central Bank Review, 24(1), 100139. https://doi.org/10.1016/j.cbrev.2023.100139
  • Demir, F. (2009). Financial liberalization, private investment and portfolio choice: Financialization of real sectors in emerging markets. Journal of Development Economics, 88(2), 314–324. https://doi.org/10.1016/j.jdeveco.2008.04.002
  • Demiroglu, U. (2013). The effects of the investment decline on potential GDP in Turkey’s 2001 and 2009 crises. Central Bank Review, 13(3), 25–44.
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TÜRKİYE'DE FİNANS VE BANKACILIK ÜZERİNE YAPILAN ARAŞTIRMALARIN KAPSAMI NEDİR? BİBLİYOMETRİK BİR ANALİZ

Yıl 2024, Sayı: 48, 845 - 878, 31.12.2024
https://doi.org/10.14520/adyusbd.1588284

Öz

Bu çalışma, Türkiye'nin finans ve bankacılık alanındaki literatürüne ilişkin bibliyometrik bir literatür incelemesi sunmayı amaçlamaktadır. Çalışma kapsamında, Türkiye ile ilgili finans ve bankacılık alanındaki literatür, Web of Science (WoS) veri tabanında "İktisat, İşletme Finans ve İşletme" kategorilerinde yer alan yayınlar incelenmiştir. Çalışmanın kapsadığı 1980-2024/Ocak yıllarına ait veriler, sınıflandırılmış ve bilimsel haritalama analizi için geliştirilmiş birçok yazılımdan biri olan VOSviewer programı kullanılarak analiz edilerek görsel haritalama yöntemleriyle sunulmuştur. İlgili dönemde ve konularda Web of Science (WoS) veri tabanında indekslenen 476 farklı dergide yayımlanmış 1.956 makale analiz edilmiştir. Çalışma kapsamında hangi ülkelerin, kurumların ve akademisyenlerin özellikle etkili olduğu belirlenmiştir. Analiz sonuçları, yıllar içinde Türk akademisyenlerin yayın sayısında bir artış olduğunu ortaya koymuştur. Diğer ülkelerdeki yayın sayıları ise yıllar boyunca daha istikrarlı bir seyir izlemiştir. Çalışma ayrıca Türkiye'yi konu alan finans ve bankacılık çalışmalarını içeren ana akım finans dergilerini ve bu dergilerin artan akademik etkisini göstermektedir. Bu çalışma, dünya ekonomileriyle yakından ilişkili bir ülke olan Türkiye'ye ait verileri değerlendirdiği için literatüre önemli bir katkı sunmakta ve bildiğimiz kadarıyla literatürde bunu yapan ilk çalışma olarak öne çıkmaktadır.

Kaynakça

  • Agapova, A., & Vishwasrao, S. (2020). Financial sector foreign aid and financial intermediation. International Review of Financial Analysis, 72, 101589. https://doi.org/10.1016/j.irfa.2020.101589
  • Akcan, A. V.(2024). Bibliometric analysis and content evaluation: relationship between stem education and islam and other religions. Journal of STEM Teacher Institutes, 4(2), 139-158.
  • Akturk, A. O. (2022). Thirty-five years of the Journal of Computer Assisted Learning: A bibliometric overview. Journal of Computer Assisted Learning, 38(5), 1220–1253. https://doi.org/10.1111/jcal.12686
  • Akyüz, Y., & Boratav, K. (2003). The making of the Turkish financial crisis. World Development, 31(9), 1549–1566. https://doi.org/10.1016/S0305-750X(03)00108-6
  • Alkan, B., & Çiçek, S. (2020). Spillover effect in financial markets in Turkey. Central Bank Review, 20(2), 53–64. https://doi.org/10.1016/j.cbrev.2020.02.003
  • Arık, M., Afşar, B., Kazak, H. & Akcan, A. T. (2023). Examination of renewable energy in the discipline of economics: content and bibliometric mapping analysis, Five Zero, 3(2), 300-327. https://doi.org/10.54486/fivezero.2023.30
  • Atabey, A.Ö. & Karakuş, M. (2022). Kripto Para Piyasası ile Borsa İstanbul Arasındaki İlişkinin Analizi: Toda-Yamamoto Nedensellik Testi, Five Zero, 2(2), 97-110.
  • Aydin, S., Ozer, G., & Arasil, O. (2005). Customer loyalty and the effect of switching costs as a moderator variable A case in the Turkish mobile phone market. Marketing Intelligence & Planning, 23(1), 89–103. https://doi.org/10.1108/02634500510577492
  • Azman-Saini, W. N. W., Baharumshah, A. Z., & Law, S. H. (2010). Foreign direct investment, economic freedom and economic growth: International evidence. Economic Modelling, 27(5), 1079–1089. https://doi.org/10.1016/j.econmod.2010.04.001
  • Babakus, E., Yavas, U., Karatepe, O. M., & Avci, T. (2003). The effect of management commitment to service quality on employees’ affective and performance outcomes. Journal of The Academy of Marketing Science, 31(3), 272–286. https://doi.org/10.1177/0092070303031003005
  • Bandiera, O., Caprio, G., Honohan, P., & Schiantarelli, F. (2000). Does financial reform raise or reduce saving? Review of Economics And Statistics, 82(2), 239–263. Conference on Saving Across the World. https://doi.org/10.1162/003465300558768
  • Bash, A., & Al-Awadhi, A. M. (2023). Central Bank Independence and stock market outcomes: An event study on Borsa Istanbul. Cogent Economics & Finance, 11(1), 2186032. https://doi.org/10.1080/23322039.2023.2186032
  • Baziki, S. B., Kilic, Y., & Yilmaz, M. H. (2022). Consumer loan rate dispersion and the role of competition: Evidence from Turkish banking industry. Central Bank Review, 22(1), 27–47. https://doi.org/10.1016/j.cbrev.2022.01.001
  • Beck, T., & Demirguc-Kunt, A. (2006). Small and medium-size enterprises: Access to finance as a growth constraint. Journal of Banking & Finance, 30(11), 2931–2943. https://doi.org/10.1016/j.jbankfin.2006.05.009
  • Beck, T., Demirgüç-Kunt, A., & Levine, R. (2000). A New Database on the Structure and Development of the Financial Sector. The World Bank Economic Review, 14(3), 597–605. https://doi.org/10.1093/wber/14.3.597
  • Cayir, B. (2021). The impacts of international capital flows on household credits. Central Bank Review, 21(4), 131–140. https://doi.org/10.1016/j.cbrev.2021.12.001
  • Cayirli, O., Kayalidere, K., & Aktas, H. (2024). Conditional impact of credit growth on macroeconomic and financial aggregates: Evidence from Turkiye. International Journal of Emerging Markets, 19(2), 339–366. https://doi.org/10.1108/IJOEM-09-2021-1448
  • Cetin, H., & Guclu, A. (2022). Earnings Management Practices in Banks: An Analysis of Participation and Investment Banks in Turkiye. Sosyoekonomi, 30(53), 465–486. https://doi.org/10.17233/sosyoekonomi.1052700
  • Choong, C.-K., Baharumshah, A. Z., Yusop, Z., & Habibullah, M. S. (2010). Private capital flows, stock market and economic growth in developed and developing countries: A comparative analysis. Japan and the World Economy, 22(2), 107–117. https://doi.org/10.1016/j.japwor.2009.07.001
  • Ciftci, I., Tatoglu, E., Wood, G., Demirbag, M., & Zaim, S. (2019). Corporate governance and firm performance in emerging markets: Evidence from Turkey. International Business Review, 28(1), 90–103. https://doi.org/10.1016/j.ibusrev.2018.08.004
  • Coşkun, A., & Aypek, N. (2023). Covid-19 Öncesi ve Döneminde Seçilmiş Makroekonomik Değişkenler Arasındaki İlişkinin İncelenmesi. Pamukkale Üniversitesi Sosyal Bilimler Enstitüsü Dergisi, 58, Article 58. https://doi.org/10.30794/pausbed.1275054
  • Çiftçi, T. E. (2024). Karbon vergisi çalışmalarında bibliyometrik analiz. Five Zero, 4(1), 1-24. https://doi.org/10.54486/fivezero.2024.33
  • Čihák, M., Demirgüč-Kunt, A., Feyen, E., & Levine, R. (2013). Financial Development in 205 Economies, 1960 to 2010 (Working Paper 18946). National Bureau of Economic Research. https://doi.org/10.3386/w18946
  • Cisek, S., & Yildirim, A. (2024). The impact of domestic and global factors on individual public, domestic and foreign bank performances in Türkiye. Central Bank Review, 24(1), 100139. https://doi.org/10.1016/j.cbrev.2023.100139
  • Demir, F. (2009). Financial liberalization, private investment and portfolio choice: Financialization of real sectors in emerging markets. Journal of Development Economics, 88(2), 314–324. https://doi.org/10.1016/j.jdeveco.2008.04.002
  • Demiroglu, U. (2013). The effects of the investment decline on potential GDP in Turkey’s 2001 and 2009 crises. Central Bank Review, 13(3), 25–44.
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  • Gunes, H., & Yildirim, D. (2016). Estimating cost efficiency of Turkish commercial banks under unobserved heterogeneity with stochastic frontier models. Central Bank Review, 16(4), 127–136. https://doi.org/10.1016/j.cbrev.2016.12.001
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  • Iamsiraroj, S. (2016). The foreign direct investment–economic growth nexus. International Review of Economics & Finance, 42, 116–133. https://doi.org/10.1016/j.iref.2015.10.044
  • Isik, I., & Hassan, M. K. (2003). Financial deregulation and total factor productivity change: An empirical study of Turkish commercial banks. Journal of Banking & Finance, 27(8), 1455–1485. https://doi.org/10.1016/S0378-4266(02)00288-1
  • Ismihan, M., Dinçergök, B., & Cilasun, S. M. (2017). Revisiting the finance–growth nexus: The Turkish case, 1980–2010. Applied Economics, 49(18), 1737–1750. https://doi.org/10.1080/00036846.2016.1226487
  • Kadırgan, C., & Özlü, P. (2023). Financial crisis, global liquidity and trade credit channel: Evidence from Türkiye. Emerging Markets Review, 57, 101073. https://doi.org/10.1016/j.ememar.2023.101073
  • Karacoban, A., Saltik, O., & Degirmen, S. (2023). Regional Economic Growth and Financial Innovation: Perspectives from the Turkish Banking Sector. Sosyoekonomi, 31(56), 47–84. https://doi.org/10.17233/sosyoekonomi.2023.02.03
  • Kazak, H. (2022). The Case of Turkey in Terms of COVID- 19 and Non- Performing Loans (NPL). In Digital Transformation and New Approaches in Trade, Economics, Finance and Banking (pp. 97–133). Peter Lang GmbH.
  • Kazak, H. (2023). BIST 100 Endeksi ile USD, Altın ve BITCOIN Arasında COVID-19 Pandemisi Öncesi ve Sonrasında Nedensellik Değişimi: Türkiye Üzerine Fourier İşlevli Bir Tarihsel Analiz. Fiscaoeconomia, 7(3), 1813–1836. https://doi.org/10.25295/fsecon.1261953
  • Kazak, H., Akcan, A. T., & İyibildiren, M. (2024). The Relationship Between Foreign Direct Investment and Economic Growth in Turkic Republics. Sosyoekonomi, 32(62), 157–176. https://doi.org/10.17233/sosyoekonomi.2024.04.08
  • Kazak, H., Uluyol, B., Akcan, A. T., & İyibildiren, M. (2023). The impacts of conventional and Islamic banking sectors on real sector growth: Evidence from time-varying causality analysis for Turkiye. Borsa Istanbul Review, 23, S15–S29. https://doi.org/10.1016/j.bir.2023.09.004
  • Kilic, M., Kuzey, C., & Uyar, A. (2015). The impact of ownership and board structure on Corporate Social Responsibility (CSR) reporting in the Turkish banking industry. Corporate Governance-the International Journal Of Business in Society, 15(3), 357–374. https://doi.org/10.1108/CG-02-2014-0022
  • King, R. G., & Levine, R. (1993). Finance and growth: Schumpeter might be right. The Quarterly Journal of Economics, 108(3), 717–737. https://doi.org/doi.org/10.2307/2118406
  • Ledhem, M. A., & Mekidiche, M. (2022). Islamic finance and economic growth: The Turkish experiment. ISRA International Journal of Islamic Finance, 14(1), 4–19. https://doi.org/10.1108/IJIF-12-2020-0255
  • Levine, R. (1997). Financial Development and Economic Growth: Views and Agenda. Journal of Economic Literature, 35(2), 688–726. JSTOR.
  • Levine, R., & Zervos, S. (1998). Stock Markets, Banks, and Economic Growth. The American Economic Review, 88(3), 537–558.
  • Li, K. (2007). The growth in equity market size and trading activity: An international study. Journal of Empirical Finance, 14(1), 59–90. https://doi.org/10.1016/j.jempfin.2006.03.003
  • Lise, W. (2006). Decomposition of CO2 emissions over 1980–2003 in Turkey. Energy Policy, 34(14), 1841–1852. https://doi.org/10.1016/j.enpol.2004.12.021
  • Nguyen, U.-P., & Hallinger, P. (2020). Assessing the Distinctive Contributions of Simulation & Gaming to the Literature, 1970-2019: A Bibliometric Review. Simulation & Gaming, 51(6), 744–769. https://doi.org/10.1177/1046878120941569
  • Önis, Z. (2006). Varieties and crises of neoliberal globalisation: Argentina, Turkey and the imf. Third World Quarterly, 27(2), 239–263. https://doi.org/10.1080/01436590500432366
  • Ozgen, F. B., & Karakaya, E. (2006). Fiscal Consistency on Public Finance and Dometic Debt Sustainability: The Analysis on Budget Constraint Equity. Maliye Dergisi, 151, 103–127.
  • Ozkan, N., Cakan, S., & Kayacan, M. (2017). Intellectual capital and financial performance: A study of the Turkish Banking Sector. Borsa Istanbul Review, 17(3), 190–198. https://doi.org/10.1016/j.bir.2016.03.001
  • Pan, J., & Singleton, K. J. (2008). Default and Recovery Implicit in the Term Structure of Sovereign CDS Spreads. Journal Of Finance, 63(5), 2345–2384. https://doi.org/10.1111/j.1540-6261.2008.01399.x
  • Saiti, B., Bacha, O. I., & Masih, M. (2014). The diversification benefits from Islamic investment during the financial turmoil: The case for the US-based equity investors. Borsa Istanbul Review, 14(4), 196–211. https://doi.org/10.1016/j.bir.2014.08.002
  • Schumpeter, J. A. (1934). The Theory of Economic Development: An Inquiry Into Profits, Capital, Credit, Interest, and the Business Cycle (R. Opie, Trans.). Harvard University Press.
  • Sen, S., & Tokatlioglu, M. (2020). Contingent Liabilities as a Risk Factor in Public Finance: The Case of Turkiye. Sosyoekonomi, 28(44), 215–236. https://doi.org/10.17233/sosyoekonomi.2020.02.10
  • Şeyda, G. G., & Ali, G. (2020). 2008 Financial Crisis: A Comparative Analysis of Turkey and Brazil in Terms of Economic Policies. Journal of Economy Culture and Society, 0(62), Article 62. https://doi.org/10.26650/JECS2020-0046
  • Sumer, T. P., & Ozyildirim, S. (2022). Network structure of Turkish interbank market. Central Bank Review, 22(4), 149–161. https://doi.org/10.1016/j.cbrev.2022.11.003
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  • Tram, T. X. H., Lai, T. D., & Nguyen, T. T. H. (2023). Constructing a composite financial inclusion index for developing economies. The Quarterly Review of Economics and Finance, 87, 257–265. https://doi.org/10.1016/j.qref.2021.01.003
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  • Ugur, A., & Tosun, N. (2023). Examining the Effect of Fear on Investment Decisions and Interpreting It with Psychological Factors: A Research on Turkiye2. SOSYOEKONOMI, 31(56), 325–354. https://doi.org/10.17233/sosyoekonomi.2023.02.15
  • Unsal, H., Caliskan, A., Kocak, D., & Erturk, Y. (2020). Prediction of Tax Revenues With Multivariable Grey Prediction Model Under The Scope Of Public Finance Management. Journal of Mehmet Akif Ersoy University Economics and Administrative Sciences Faculty, 7, 1104–1120. https://doi.org/10.30798/makuiibf.834239
  • Ünlüönen, S. F., & Özüdoğru, H. (2024). Covid-19 Sürecinde Yetişkinlerin Tamamlayıcı Sağlık Sigortasına Bakış Açıları Üzerine Bir Araştırma: Ankara İli Örneği. Ankara Hacı Bayram Veli Üniversitesi İktisadi ve İdari Bilimler Fakültesi Dergisi, 26(1), Article 1. https://doi.org/10.26745/ahbvuibfd.1386419
  • van Eck, N. J., & Waltman, L. (2007). VOS: A New Method for Visualizing Similarities Between Objects. In R. Decker & H.-J. Lenz (Eds.), Advances in Data Analysis (pp. 299–306). Springer. https://doi.org/10.1007/978-3-540-70981-7_34
  • van Eck, N. J., & Waltman, L. (2022). VOSviewer Manual. Universiteit Leiden. https://www.vosviewer.com/documentation/Manual_VOSviewer_1.6.18.pdf
  • Van Oudheusden, P., Klapper, L., Demirguc-Kunt, A., & Singer, D. (2015). The global findex database 2014: Measuring financial inclusion around the world [Work in Progress]. World Bank. https://gflec.org/wp-content/uploads/2015/09/van-Oudheusden-Findex_GFLEC.pdf
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  • Zupic, I., & Čater, T. (2015). Bibliometric Methods in Management and Organization. Organizational Research Methods, 18(3), 429–472. https://doi.org/10.1177/1094428114562629
Toplam 69 adet kaynakça vardır.

Ayrıntılar

Birincil Dil İngilizce
Konular Ekonometrik ve İstatistiksel Yöntemler, Uygulamalı Makro Ekonometri
Bölüm Makaleler
Yazarlar

Şükrü Apaydın 0000-0003-4640-8135

Hasan Kazak 0000-0003-0699-5371

Ahmet Tayfur Akcan 0000-0001-8210-7327

Yayımlanma Tarihi 31 Aralık 2024
Gönderilme Tarihi 19 Kasım 2024
Kabul Tarihi 30 Aralık 2024
Yayımlandığı Sayı Yıl 2024 Sayı: 48

Kaynak Göster

APA Apaydın, Ş., Kazak, H., & Akcan, A. T. (2024). WHAT IS THE EXTENT OF RESEARCH ON FINANCE AND BANKING IN TÜRKİYE? A BIBLIOMETRIC ANALYSIS. Adıyaman Üniversitesi Sosyal Bilimler Enstitüsü Dergisi(48), 845-878. https://doi.org/10.14520/adyusbd.1588284