Araştırma Makalesi

ON ANALYSIS AND CONTROL OF FINANCIAL RISKS AND A VIEW OF TURKISH AND EUROPEAN BANKS AND FINANCIAL MARKETS

Cilt: 13 Sayı: 1&2 28 Aralık 2005
  • M. Hasan Eken
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ON ANALYSIS AND CONTROL OF FINANCIAL RISKS AND A VIEW OF TURKISH AND EUROPEAN BANKS AND FINANCIAL MARKETS

Öz

In this paper, four main financial risks that banks get exposed to in functioning as intermediary institutions are analysed and decomposed into their components. After that the two components of these risks namely; volatility and sensitivity, are calculated for both Turkish and European Union commercial banks in aggregates. Volatility is the exogenous component of risk and hence it is out of control of banks. Volatility can partly be controlled by the governments. On the other hand sensitivity is calculated as using banks' balance sheet figures. Thus, it is under the control of banks and it can be managed by them. 

Anahtar Kelimeler

Kaynakça

  1. Baker, J.V., October 1978, Asset-Liability Management, Part 5: A Model ofALM Policy, Banking, V.70, P. 82-88.
  2. Basel II: International Convergence of Capital Measurement and Capital Standards: a Revised Framework, BIS Web Site.
  3. Bessis, J., 1998, Risk Management in Banking, First Edition, John Wiley and Sons, West Sussex, England.
  4. Bierwag, G.O. and Kaufman, G.G., 1977, Coping with the Risk of Interest Rate Fluctuations: A Note, Journal of Business, V.50, P.364-370.
  5. Bierwag, G.O., Kaufman, G.G. and Toevs, A., 1983, Immunization Strategies for Funding Multiple Liabilities, Journal of Financial and Quantitative Analysis, V .18, N .1, P.113-124.
  6. Binder, B.F., December 1980, Asset/Liability Management Part 2: Management and Control of Rate Sensitivity, Magazine of Bank Administration, V.56, P.31-35.
  7. Eken, M.H., 1992, Asset/Liability Management (ALM) in Commercial Banks: Models, Tools, Applications, A Comparative Case Study: The U.K. and Turkey, Unpublished Master Thesis, The University of Exeter, U.K..
  8. Eken, M.H., Oct. 1992, Bankalarda Aktif-Pasif Yonetimi,Bankacllar, No:lO, P. 48-51.

Ayrıntılar

Birincil Dil

İngilizce

Konular

-

Bölüm

Araştırma Makalesi

Yazarlar

M. Hasan Eken Bu kişi benim

Yayımlanma Tarihi

28 Aralık 2005

Gönderilme Tarihi

10 Mayıs 2005

Kabul Tarihi

-

Yayımlandığı Sayı

Yıl 2005 Cilt: 13 Sayı: 1&2

Kaynak Göster

APA
Eken, M. H. (2005). ON ANALYSIS AND CONTROL OF FINANCIAL RISKS AND A VIEW OF TURKISH AND EUROPEAN BANKS AND FINANCIAL MARKETS. Marmara Üniversitesi Avrupa Araştırmaları Enstitüsü Avrupa Araştırmaları Dergisi, 13(1&2), 129-140. https://doi.org/10.29228/mjes.214
AMA
1.Eken MH. ON ANALYSIS AND CONTROL OF FINANCIAL RISKS AND A VIEW OF TURKISH AND EUROPEAN BANKS AND FINANCIAL MARKETS. MJES. 2005;13(1&2):129-140. doi:10.29228/mjes.214
Chicago
Eken, M. Hasan. 2005. “ON ANALYSIS AND CONTROL OF FINANCIAL RISKS AND A VIEW OF TURKISH AND EUROPEAN BANKS AND FINANCIAL MARKETS”. Marmara Üniversitesi Avrupa Araştırmaları Enstitüsü Avrupa Araştırmaları Dergisi 13 (1&2): 129-40. https://doi.org/10.29228/mjes.214.
EndNote
Eken MH (01 Aralık 2005) ON ANALYSIS AND CONTROL OF FINANCIAL RISKS AND A VIEW OF TURKISH AND EUROPEAN BANKS AND FINANCIAL MARKETS. Marmara Üniversitesi Avrupa Araştırmaları Enstitüsü Avrupa Araştırmaları Dergisi 13 1&2 129–140.
IEEE
[1]M. H. Eken, “ON ANALYSIS AND CONTROL OF FINANCIAL RISKS AND A VIEW OF TURKISH AND EUROPEAN BANKS AND FINANCIAL MARKETS”, MJES, c. 13, sy 1 & 2, ss. 129–140, Ara. 2005, doi: 10.29228/mjes.214.
ISNAD
Eken, M. Hasan. “ON ANALYSIS AND CONTROL OF FINANCIAL RISKS AND A VIEW OF TURKISH AND EUROPEAN BANKS AND FINANCIAL MARKETS”. Marmara Üniversitesi Avrupa Araştırmaları Enstitüsü Avrupa Araştırmaları Dergisi 13/1 & 2 (01 Aralık 2005): 129-140. https://doi.org/10.29228/mjes.214.
JAMA
1.Eken MH. ON ANALYSIS AND CONTROL OF FINANCIAL RISKS AND A VIEW OF TURKISH AND EUROPEAN BANKS AND FINANCIAL MARKETS. MJES. 2005;13:129–140.
MLA
Eken, M. Hasan. “ON ANALYSIS AND CONTROL OF FINANCIAL RISKS AND A VIEW OF TURKISH AND EUROPEAN BANKS AND FINANCIAL MARKETS”. Marmara Üniversitesi Avrupa Araştırmaları Enstitüsü Avrupa Araştırmaları Dergisi, c. 13, sy 1&2, Aralık 2005, ss. 129-40, doi:10.29228/mjes.214.
Vancouver
1.M. Hasan Eken. ON ANALYSIS AND CONTROL OF FINANCIAL RISKS AND A VIEW OF TURKISH AND EUROPEAN BANKS AND FINANCIAL MARKETS. MJES. 01 Aralık 2005;13(1&2):129-40. doi:10.29228/mjes.214