Content
2024, Volume 24, Issue 3
- v:24:y:2024:i:3:article:100160 A proposal for a composite indicator based on ratios (CIBOR) to compare the evolution of Spanish financial institutions
by Julián Llorent-Jurado & Ignacio Contreras & Flor María Guerrero-Casas - v:24:y:2024:i:3:article:100161 A review of the discussion proposal on changes to the EU-wide stress test
by Julián Llorent-Jurado & José Antonio Ordaz-Sanz & María del Carmen Melgar-Hiraldo & Flor María Guerrero-Casas
2024, Volume 24, Issue 2
- 1-12 Estimating time-varying potential output and NAIRU using a multivariate filter for Türkiye
by Mert Gokcu - v:24:y:2024:i:2:article:100157 Financial market discipline on bank risk: Implications of state ownership
by Abdullah Kazdal & Yavuz Kilic & Muhammed Hasan Yilmaz - v:24:y:2024:i:2:article:100159 Monetary policy spillovers between the US and African Central Banks: A time- and frequency-varying connectedness study
by Clement Moyo & Andrew Phiri
2024, Volume 24, Issue 1
- v:24:y:2024:i:1:article:100139 The impact of domestic and global factors on individual public, domestic and foreign bank performances in Türkiye
by Serkan Cicek & Aynur Yildirim - v:24:y:2024:i:1:article:100147 Economic sentiment and foreign portfolio flows: Evidence from Türkiye
by Didem Gunes & Ibrahim Ozkan & Lutfi Erden - v:24:y:2024:i:1:article:100148 Banking systems in the euro zone and transmission of monetary policy
by José Alejandro Fernández Fernández - v:24:y:2024:i:1:article:100149 Transmission and impact of stock market shocks on the world economy
by Luccas Assis Attilio
2023, Volume 23, Issue 4
- v:23:y:2023:i:4:article:100129 Financial literacy and cash holdings in Turkiye
by Mustafa Recep Bilici & Saygin Cevik - v:23:y:2023:i:4:article:100132 Household portfolios in Türkiye: Results from the household finance and consumption survey
by Evren Ceritoglu & Seyit Mumin Cilasun & Muserref Kucukbayrak & Ozlem Sevinc - v:23:y:2023:i:4:article:100140 Long shadows of the walking dead on economic activity
by N. Nergiz Dincer & Pelin Pektekin & Ayca Tekin-Koru
2023, Volume 23, Issue 3
- v:23:y:2023:i:3:article:100128 A comparative analysis of the financial performance of commercial banks after mergers and acquisitions using Nepalese data
by Baburam Adhikari & Marie Kavanagh & Bonnie Hampson - v:23:y:2023:i:3:article:100130 Heterogeneous effect of exchange rates on firms’ exports: Role of labor intensity
by Kurmas Akdogan & Yusuf Kenan Bagir & Huzeyfe Torun - v:23:y:2023:i:3:article:100131 Credit growth and current account balance
by Aysu Celgin & Okan Eren & Pinar Ozlu
2023, Volume 23, Issue 2
- v:23:y:2023:i:2:article:100117 Compliance with the Basel Core Principles and supervisory structure: A cross-country analysis
by Maria Teresa Medeiros Garcia & Frederico Cavaleiro de Mendonca - v:23:y:2023:i:2:article:100118 Anticipation of central banks' adoption of inflation targeting and its effect on inflation
by Amlendu Dubey & Akanksha Mishra - v:23:y:2023:i:2:article:100119 Household debt, heterogeneity and financial stability: Evidence from Kazakhstan
by Alisher Aldashev & Birzhan Batkeyev
2023, Volume 23, Issue 1
- v:23:y:2023:i:1:article:100106 Market concentration and producer prices
by Huzeyfe Torun & Ahmet Duhan Yassa - v:23:y:2023:i:1:article:100107 The determinants of savings rates in OECD countries: The role of private pensions
by Pinar Fulya Gebesoglu & Hasan Murat Ertugrul & Umit Bulut - v:23:y:2023:i:1:article:100108 Inflation, perception of economic uncertainty and COVID-19: Evidence from Central Bank communication
by Pierre Hitalo Nascimento Silva & Jevuks Matheus de Araujo
2022, Volume 22, Issue 4
- 129-140 Modeling and estimation of synchronization in size-sorted portfolio returns
by Cem Cakmakli & Richard Paap & Dick van Dijk - 141-148 Does exporting create employment? Evidence from Turkish manufacturing
by Mustafa Ozsari & Yilmaz Kilicaslan & Unal Tongur - 149-161 Network structure of Turkish interbank market
by Tuba Pelin Sumer & Suheyla Ozyildirim
2022, Volume 22, Issue 3
- 99-107 Covid-19, sovereign risk and monetary policy: Evidence from the European Monetary Union
by Secil Yildirim Karaman - 109-117 Is bank risk appetite relevant to bank default in times of Covid-19?
by Pei-Ling Lee & Chun-Teck Lye & Chin Lee - 119-127 Bootstrap-DEA management efficiency and early prediction of bank failure: Evidence from 2008-2009 U.S. bank failures
by Abdus Samad & Vaughn S. Armstrong
2022, Volume 22, Issue 2
- 77-89 Exchange rate volatility and export in Turkey: Does the nexus vary across the type of commodity?
by Dogukan Tarakci & Fevzi Olmez & Dilek Durusu-Ciftci - 91-98 How can a central bank exit quantitative easing without rapidly shrinking its balance sheet?
by Atsushi Tanaka
2022, Volume 22, Issue 1
- 1-25 Potential growth in Turkey: Sources and trends
by Orhun Sevinc & Ufuk Demiroglu & Emre Cakir & E. Meltem Bastan - 27-47 Consumer loan rate dispersion and the role of competition: Evidence from Turkish banking industry
by Selva Bahar Baziki & Yavuz Kiliç & Muhammed Hasan Yilmaz - 49-56 Analysis of the impacts of safeguard actions: Evidence from Turkey
by Volkan Sezgin - 55-75 Factors determining the location decision: Analysis of location choice preferences of the ICI-1000 companies with the nested logit model
by Busra Akin & Umit K. Seyfettinoglu
2021, Volume 21, Issue 4
- 119-129 Liquidity transformation, collateral assets and counterparties
by Calebe de Roure & Nick McLaren - 131-140 The impacts of international capital flows on household credits
by Bilal Cayir - 141-153 Can central bank speeches predict financial market turbulence? Evidence from an adaptive NLP sentiment index analysis using XGBoost machine learning technique
by Anastasios Petropoulos & Vasilis Siakoulis - 155-163 Covid 19 and the Turkish labor market: Heterogeneous effects across demographic groups
by Altan Aldan & Muhammet Enes Cirakli & Huzeyfe Torun
2021, Volume 21, Issue 3
- 71-86 Card spending dynamics in Turkey during the COVID-19 pandemic
by Zeynep Kantur & Gulserim Ozcan - 87-103 Heterogeneous provincial prices and monetary policy in South Africa: A wavelet-based quantile regression analysis
by Abdul-Aziz Iddrisu & Imhotep Paul Alagidede - 105-118 Domestic demand and exports: Evidence from Turkish firms
by Selcuk Gul
2021, Volume 21, Issue 2
- 39-48 Hidden reserves as an alternative channel of firm finance
by Ibrahim Yarba - 49-57 A measure of Turkey's sovereign and banking sector credit risk: Asset swap spreads
by Doruk Kucuksarac & Abdullah Kazdal & Halil Ibrahim Korkmaz & Yigit Onay - 59-69 Okun’s law under the demographic dynamics of the Turkish labor market
by Evren Erdogan Cosar & Ayse Arzu Yavuz
2021, Volume 21, Issue 1
- 1-16 The new investment landscape: Equity crowdfunding
by Burze Yasar - 17-24 Do regional house prices converge? Evidence from a major developing economy
by Aytul Ganioglua & Unal Seven - 25-34 The asymmetric J-curve phenomenon: Kenya versus her trading partners
by Moses Mutharime Mwito & Beatrice K.Mkenda & Eliab Luvanda
2020, Volume 20, Issue 4
- 155-168 Import Content of Turkish Production and Exports: A sectoral analysis
by Yasemin Erduman & Okan Eren & Selcuk Gul - 169-182 Term premium in emerging market sovereign yields: Role of common and country specific factors
by Ibrahim Ozbek & Ä°rem Talasli - 183-192 Revisiting interest rate and lending channels of monetary policy transmission in the light of theoretical prescriptions
by Abdul-Aziz Iddrisu & Imhotep Paul Alagidede - 193-203 Interaction of monetary and fiscal policies in Turkey
by Tayyar Buyukbasaran & Cem Cebi & Erdal Yilmaz - 205-211 Exchange-traded funds and FX volatility: Evidence from Turkey
by Burchan Sakarya & Aykut Ekinci - 213-221 Modelling central bank behaviour in Nigeria : A Markov-switching approach
by Taofeek Olusola Ayinde & Abiodun S.Bankole & Oluwatosin Adeniyi
2020, Volume 20, Issue 3
- 99-107 An optimal early warning system for currency crises under model uncertainty
by Mamdouh Abdelmoula M.Abdelsalam & Hany Abdel-Latif - 109-131 Credit decomposition and economic activity in Turkey: A wavelet-based approach
by Oguzhan Cepni & Yavuz Selim Hacihasanoglu & Muhammed Hasan Yilmaz - 133-142 Monetary policy and financial stability: Should central bank lean against the wind?
by Aswathi R.Nair & B.Anand - 143-154 Logistics performance and export variety : Evidence from Turkey
by Unal Tongur & Kemal Turkcan & Seda Ekmen Ozcelik
2020, Volume 20, Issue 2
- 33-42 Uncertainty, macroprudential policies and corporate leverage : Firm-level evidence
by Ibrahim Yarba & Z. Nuray Guner - 43-52 A financial stress index for a highly dollarized developing country : The case of Lebanon
by Layal MansourIshrakieh & Leila Dagher & Sadika El Hariri - 53-64 Spillover effect in financial markets in Turkey
by Buket Alkan & Serkan Cicek - 65-73 The determinants of bank profitability : A cross-country analysis
by Tu DQ. Le & Thanh Ngo - 75-84 How do fund rates affect the U.S. firms? A threshold estimation
by Mina Sami & Tarek Ibrahim Eldomiaty & Mina Kamal - 85-97 Job search, occupational choice and learning
by Mina Kamal
2020, Volume 20, Issue 1
- 1-8 Oil price shocks and the composition of current account balance
by Serdar Varlik & M.Hakan Berument - 9-19 Market-based monetary policy expectations for Turkey
by Fatih Akcelik & Anil Talasli - 21-31 Structural transformation in the presence of trade and financial integration in sub–Saharan Africa
by Imhotep Paul Alagidede & Muazu Ibrahim & Yakubu Awudu Sare
2019, Volume 19, Issue 4
- 115-127 Imported inputs and the countercyclicality of net exports in emerging markets
by Suleyman Tolga Tiryaki - 129-139 Pot the ball? Sovereign wealth funds’ outward FDI in times of global financial market turbulence: A yield institutions-based view
by K.S.Reddy - 141-153 Labour market fluctuations: An RBC model for emerging countries
by Sevgi Coskun
2019, Volume 19, Issue 3
- 83-91 Job mobility in Turkey
by Yusuf Emre Akgunduz & Altan Aldan & Yusuf Kenan Bagir & Huzeyfe Torun - 93-105 The distortionary effects of sterilised reserve accumulation on domestic credit markets: Evidence from Uganda
by Jimmy ApaaOkello & Beatrice K. Mkenda & Eliab Luvanda - 107-113 Financial inclusion and tax revenue
by Gamze Oz-Yalaman
2019, Volume 19, Issue 2
- 33-43 Measuring inflation uncertainty in Turkey
by Eda Gulsen & Hakan Kara - 45-58 The impact of income distribution on house prices
by M. Utku Ozmen & M. Koray Kalafatcilar & Erdal Yilmaz - 59-66 Dating the business cycle : Evidence from Mongolia
by Davaajargal Luvsannyam & Khuslen Batmunkh & Khulan Buyankhishig - 67-82 An analysis to detect exuberance and implosion in regional house prices in Turkey
by Evren Ceritoglu & Seyit Mumin Cilasun & Ufuk Demiroglu & Aytul Ganioglu
2019, Volume 19, Issue 1
- 1-8 The dual adjustment approach with an application to the consumption function
by Mustafa Ismihan - 9-19 Import demand function for Turkey
by Olcay Yucel Culha & Okan Eren & Ferya Ogunc - 21-32 The dynamics of household final consumption: The role of wealth channel
by Esra Alp & Unal Seven
2018, Volume 18, Issue 4
- 129-147 Impact of the Syrian refugee influx on Turkish native workers : An ethnic enclave approach
by Yusuf Kenan Bagir - 149-161 Forecasting industrial production and inflation in Turkey with factor models
by Mahmut Gunay - 163-173 Mean-reversion and structural change in European food prices
by Kurmas Akdogan
2018, Volume 18, Issue 3
- 85-93 Fiscal policy effectiveness and the golden rule of public finance
by Irem Zeyneloglu - 95-106 On income and wealth inequality in Turkey
by Orhan Torul & Oguz Oztunali - 107-128 Monetary and macroprudential policy in a commodity exporting economy : A structural model analysis
by Gan-Ochir Doojav & Undral Batmunkh
2018, Volume 18, Issue 2
- 41-50 On the business cycle implications of alternative risk aversion formulations
by Orhan Torul - 51-60 A text mining application on monthly price developments reports
by Hatice Burcu Eskici & Necmettin Alpay Kocak - 61-68 Does being international make companies more sustainable? Evidence based on corporate sustainability indices
by Mehmet Ali Soytas & Asya Atik - 69-83 Effectiveness of monetary and macroprudential shocks on consumer credit growth and volatility in Turkey
by Meltem Gulenay Chadwick
2018, Volume 18, Issue 1
- 1-11 Borrowing constraints and saving in Turkey
by Sumru Altug & Melih Can Firat - 13-27 A cross-country analysis of total factor productivity using micro-level data
by Murat Seker & Federica Saliola - 29-34 Optimal skill distribution under convex skill costs
by Tin Cheuk Leung & Hakki Yazici - 35-39 An alternative mean reversion test for interest rates
by Ozgur Ozel & Deniz Ilalan
2017, Volume 17, Issue 4
- 117-126 Informality and structural transformation
by Orhan Erem Atesagaoglu & Deniz Bayram & Ceyhun Elgin - 127-130 Intergenerational disagreements in labor supply and optimal bequest taxation
by Hakki Yazici - 131-146 Central bank independence and inflation in Africa : The role of financial systems and institutional quality
by Abel Mawuko Agoba & Joshua Abor & Kofi A. Osei & Jarjisu Sa-Aadu
2017, Volume 17, Issue 3
- 1-77–89 Investor herds and oil prices evidence in the Gulf Cooperation Council (GCC) equity markets
by Talat Ulussever & Riza Demirer - 1-91–97 Career choice and the strength of weak ties
by Semih Tumen - 1-99–110 The effect of house price changes on cohort consumption in Turkey
by Evren Ceritoglu - 111–116-111–116 Heterogeneity across emerging market central bank reaction functions
by Mesut Turkay
2017, Volume 17, Issue 2
- 1-39–45 Empirical investigation of purchasing power parity for Turkey : Evidence from recent nonlinear unit root tests
by Dilem Yildirim - 1-47–54 Financial development convergence : New evidence for the EU
by Dilara Kilinc & Unal Seven & Hakan Yetkiner - 1-55–76 News impact for Turkish food prices
by Meltem Chadwick & Meltem Bastan
2017, Volume 17, Issue 1
- 1-1–10 Assessing nominal GDP targeting in the South African context
by Kenneth Creamer & Robert Tregathen Botha - 1-11–17 TFP growth in Turkey revisited: The effect of informal sector
by Orhan Erem Atesagaoglu & Ceyhun Elgin & Oguz Oztunali - 1-19–29 Capital market and economic growth nexus: Evidence from Turkey
by Yener Coskun & Unal Seven & H. Murat Ertugrul & Talat Ulussever - 1-31–38 An evaluation of inflation expectations in Turkey
by Baris Soybilgen & Ege Yazgan
2016, Volume 16, Issue 4
- 119-125 A new estimation technique of sovereign default risk
by Mehmet Ali Soytas & Engin Volkan - 127-136 Estimating cost efficiency of Turkish commercial banks under unobserved heterogeneity with stochastic frontier models
by Hakan Gunes & Dilem Yildirim - 137-142 Revisiting super-cycles in commodity prices
by Fatma Pinar Erdem & Ibrahim Unalmis - 143-150 Responsiveness of monetary policy to financial stress in Turkey
by Ferhat Camlica
2016, Volume 16, Issue 3
- 85-92 A brief assessment of Turkey's macroprudential policy approach : 2011–2015
by Hakan Kara - 93-108 Estimating light-vehicle sales in Turkey
by Ufuk Demiroglu & Caglar Yunculer - 109-117 Informality as a stepping stone: A search-theoretical assessment of informal sector and government policy
by Semih Tumen
2016, Volume 16, Issue 2
- 53-57 Does the central bank directly respond to output and inflation uncertainties in Turkey?
by Pelin Oge Guney - 59-64 The role of the extensive margin in export of Turkey : A comparative analysis
by Altan Aldan & Olcay Yucel Culha - 65-72 Time varying determinants of bond flows to emerging markets
by Yasemin Erduman & Neslihan Kaya - 73-83 Labor productivity in the middle income trap and the graduated countries
by Gokhan Yilmaz
2016, Volume 16, Issue 1
- 1-6 Resilience of emerging market economies to global financial conditions
by Turalay Kenc & Fatma Pinar Erdem & Ibrahim Unalmis - 7-17 Beyond convergence : Poland and Turkey en route to high income
by Martin Raiser & Marina Wes & Ayberk Yilmaz - 19-23 Poland's economic and social transformation 1989–2014 and contemporary challenges
by Stanislaw Gomulka - 25-32 Not all credit is created equal : Mortgage vs non-mortgage debt and private saving rate in Turkey
by Cengiz Tunc & Abdullah Yavas - 33-40 The relationship between stock and real estate prices in Turkey : Evidence around the global financial crisis
by Asli Yuksel - 41-51 Pass-through of crude oil prices at different stages in Turkey
by Fatih Akcelik & Fethi Ogunc
2015, Volume 15, Issue 3
- 1-14 The Relationship Between Central Bank Independence, Financial Freedom, and Economic Growth: A Panel ARDL Bounds Testing Approach
by Merter Akinci & Gonul Yuce Akinci & Omer Yilmaz - 15-40 Nowcasting the Unemployment Rate in Turkey : Let's ask Google
by Meltem Gulenay Chadwick & Gonul Sengul - 41-73 Turkiye icin Finansal Kosullar Endeksi
by Hakan Kara & Pinar Ozlu & Deren Unalmis - 75-88 Petrol Fiyatlarinin Enflasyona Geciskenligi Degisti mi?
by Halit Yanikkaya & Huseyin Kaya & Doganbey Akgul - 89-114 Enflasyon Rejimleri ve Uretici Enflasyonundan Tuketici Enflasyonuna Geciskenlik
by Zekeriya Yildirim
2015, Volume 15, Issue 2
- 1-29 Foreign Currency Lending and Banking System Stability : New Evidence from Turkey
by Emre Ozsoz & Erick W. Rengifo & Ali M. Kutan - 31-60 Cross Sectional Facts on Bank Balance Sheets over the Business Cycle
by Osman Furkan Abbasoglu & Serife Genc & Yasin Mimir - 61-77 A Review on the Relationship Between the Real Exchange Rate, Productivity, and Growth
by Murat Ozbilgin - 79-93 Model Belirsizligi Altinda Doviz Kurunun Enflasyona Etkisi
by Dincer Dedeoglu & Huseyin Kaya
2015, Volume 15, Issue 1
- 1-18 Reserve Option Mechanism : Does It Work As An Automatic Stablizer?
by Oguz Arslaner & Ugur Ciplak & Hakan Kara & Doruk Kucuksarac - 19-38 Assessment of Post-2003 Crude Oil Price Hike Through Wavelet Coherency Analysis
by Mustafa Koray Kalafatcilar & Mustafa utku Ozmen - 39-63 Domestic Savings-Investment Gap and Growth : A Cross-Country Panel Study
by Aytul Ganioglu & Cihan Yalcin - 65-93 Farkli Belirsizlik Duzeylerinde Faiz Oraninin Makroekonomik Degiskenlere Etkileri : Turkiye Uzerine Etkilesimli Vektor Otoregresif Modeli Uygulamasi
by Afsin Sahin & Volkan Ulke - 95-108 "House of Debt" by Atif Mian and Amir Sufi
by Murat Ozbilgin
2014, Volume 14, Issue 3
- 1-14 Nominal GDP Targeting for Middle-Income Countries
by Jeffrey Frankel - 15-33 The Effects of Demographic and Social Changes on Household Savings in Turkey
by Evren Ceritoglu & Okan Eren - 35-62 Unemployment and Vacancies in Turkey : The Beveridge Curve and Matching Function
by Birol Kanik & Enes Sunel & Temel Taskin - 63-94 Estimating NAIRU for Turkey Using Extended Kalman Filter Approach
by Vuslat Us
2014, Volume 14, Issue 2
- 1-11 Inflation-Industrial Growth Nexus in India – A Revisit Through Continuous Wavelet Transform
by Aviral Kumar Tiwari & Arif Billah Dar & Niyati Bhanja - 13-29 Nufus Yapisindaki Degisimlerin Uzun Donem Konut Talebi Uzerindeki Etkileri
by Yavuz Arslan & Evren Ceritoglu & Birol Kanik - 31-64 GDP Growth in Turkey : Inclusive or Not?
by Temel Taskin - 65-78 Tests of Rationality in Turkish Foreign Exchange Market
by Neslihan Topbas
2014, Volume 14, Issue 1
- 1-14 In Search of a Reasonable Credit Growth Rate for Turkey
by Hakan Kara & Hande Kucuk & Tolga Tiryaki & Canan Yuksel - 15-21 Do Inflation Expectations Converge Toward Inflation Target or Actual Inflation? Evidence from Expectation Gap Persistence
by Serkan Cicek & Cuneyt Akar - 23-45 A Quest for Leading Indicators of the Turkish Unemployment Rate
by Burcu Gurcihan Yunculer & Gonul Sengul & Arzu Yavuz - 47-55 "The Bankers’ New Clothes : What’s Wrong with Banking and What to Do about It" by Anat Admati and Martin Hellwig
by Tolga Tiryaki
2013, Volume 13, Issue Special Issue on Systemic Risk
- 5-23 Systemic Risk Contribution of Individual Banks
by Huseyin Cagri Akkoyun & Ramazan Karasahin & Gursu Keles - 25-40 Systemic Risk Analysis of Turkish Financial Institutions with Systemic Expected Shortfall
by Irem Talasli - 41-63 Stock Return Co-movement and Systemic Risk in the Turkish Banking System
by Mahir Binici & Bulent Koksal & Cuneyt Orman - 65-74 External Financial Stress and External Financing Vulnerability in Turkey : Some Policy Implications for Financial Stability
by Etkin Ozen & Cem Sahin & Ibrahim Unalmis
2013, Volume 13, Issue 3
- 1-23 Financial Crises: Review and Evidence
by Stijn Claessens & M. Ayhan Kose - 25-44 The Effects of the Investment Decline on Potential GDP in Turkey’s 2001 and 2009 Crises
by Ufuk Demiroglu - 45-60 Reserve Options Mechanism : A New Macroprudential Tool to Limit the Adverse Effects of Capital Flow Volatility on Exchange Rates
by Arif Oduncu & Yasin Akcelik & Ergun Ermisoglu - 61-71 End-Point Bias in Trend-Cycle Decompositions : An Application to the Real Exchange Rates of Turkey
by Mehmet Fatih Ekinci & Gazi Kabas & Enes Sunel
2013, Volume 13, Issue 2
- 1-15 The Potential Instruments of Monetary Policy
by Charles A.E. Goodhart - 17-31 The Case for Four Percent Inflation
by Laurence M. Ball - 33-58 Fiscal Limits and Monetary Policy
by Eric M. Leeper - 59-78 On the Friedman Rule with Labor Market Frictions
by Francesco Zanetti - 79-102 Optimal Reserve Management Pattern for Turkish Banks
by Anil Talasli & Suheyla Ozyildirim - 103-114 "In the Wake of the Crisis : Leading Economists Reassess Economic Policy" Edited by Olivier Blanchard, David Romer, Michael Spence, and Joseph Stiglitz
by Murat Ungor
2013, Volume 13, Issue 1
- 1-14 Reserve Options Mechanism
by Koray Alper & Hakan Kara & Mehmet Yorukoglu - 15-29 A Real Economic Activity Indicator for Turkey
by S. Boragan Aruoba & Cagri Sarikaya - 31-49 Public Debt Stock Sustainability in Selected OECD Countries
by Ata Ozkaya - 51-82 Treatment of Seasonal Products and CPI Volatility
by Oguz Atuk & M. Utku Ozmen & Orhun Sevinc - 83-88 Book Review - "Why Nations Fail" by Daron Acemoglu and James A. Robinson
by Raif Can
2012, Volume 12, Issue 2
- 1-10 Inflation Expectations and Central Bank Communication in Turkey
by Yusuf Soner Baskaya & Eda Gulsen & Hakan Kara - 11-24 Is the Leverage of Turkish Banks Procyclical?
by Mahir Binici & Bulent Koksal - 25-35 Kuresel Kriz, Avrupa Borc Krizi ve Gelismekte Olan Piyasalarda Bulasicilik Etkisi (Global Crisis, European Debt Crisis and Contagion in Emerging Markets)
by Doruk Kucuksarac & Pinar Ozlu & Deren Unalmis - 37-44 "Fault Lines" by Raghuram G. Rajan
by Yasemin Barlas
2012, Volume 12, Issue 1
- 1-12 Regulating Check Use in Turkey
by Semih Tumen - 13-36 Learning, Monetary Policy, and Housing Prices
by Birol Kanik - 37-51 Turkiye'de Cekirdek Enflasyon : Ekonometrik Bir Yaklasim
by Ozlem Yigit & Atilla Gokce - 53-62 Is Disagreement a Good Proxy for Inflation Uncertainty? Evidence from Turkey
by Timur Hulagu & Saygin Sahinoz - 63-74 Gelismekte Olan Ulkelerin Kurlarindaki Ortak Hareketin Analizi
by Meltem Gulenay Chadwick & Fatih Fazilet & Necati Tekatli - 75-81 Review of "This Time is Different : Eight Centuries of Financial Folly" by Carmen M. Reinhart and Kenneth S. Rogoff
by Vuslat Us Alioglu
2011, Volume 11, Issue 2
- 1-13 Investment Cost Channel and Monetary Transmission
by Yunus Aksoy & Henrique S. Basso & Javier Coto Martinez - 15-28 Gorunmez Ama Hissedilmez Degil : Turkiye'de Cikti Acigi
by Fethi Ogunc & Cagri Sarikaya - 29-48 Parasal Analize Bir Bakis : Turkiye Ornegi
by K. Azim Ozdemir - 49-69 Testing Purchasing Power Parity for the New EU Members and Turkey : Panel Cointegration Analysis with Disaggregated CPI
by Hulya Saygili & Mesut Saygili - 71-84 Pass-Through of External Factors into Price Indicators In Turkey
by Caglar Yunculer
2011, Volume 11, Issue 1
- 1-9 Kalite Artislari ve Enflasyon : Turkiye Ornegi
by Yavuz Arslan & Evren Ceritoglu - 11-28 Turkiye'nin Finansal Piyasa Likiditesi, Olcumu ve Analizi
by Burcu Deniz Yildirim - 29-41 Can a Two-Sector Business Cycle Model Account for the 2001 Recession of Turkey?
by S. Tolga Tiryaki
2010, Volume 10, Issue 2
- 1-8 Finansal Stres ve Iktisadi Faaliyet
by Selim Elekdag & Ibrahim Burak Kanli & Zahid Samancioglu & Cagri Sarikaya - 9-21 A New Core Inflation Indicator for Turkey
by Necati Tekatli - 23-32 TCMB Faiz Kararlarinin Hisse Senedi Piyasalari Uzerine Etkisi
by Murat Duran & Pinar Ozlu & Deren Unalmis - 33-44 Foreign Exchange Reserve Demand : An Information Value Approach
by Kurmas Akdogan
2010, Volume 10, Issue 1
- 1-27 Composition of the Government Spending and Behaviour of the Real Exchange Rate in a Small Open Economy
by Ibrahim Unalmis - 29-46 Modelling the Daily Currency in Circulation in Turkey
by Halil Guler & Anil Talasli - 47-69 Exchange Rate Pass-Through and Exposure in the Turkish Economy
by Nazli Toraganli
2009, Volume 9, Issue 2
- 1-22 Click to Download Data : An Event Study of Internet Access to Economic Statistics
by O. Emre Tokel & M. Eray Yucel - 23-48 Para Politikasi, Parasal Buyuklukler ve Kuresel Mali Kriz Sonrasi Gelismeler
by K. Azim Ozdemir
2009, Volume 9, Issue 1
- 1-14 Estimating Value-at-Risk for the Turkish Stock Index Futures in the Presence of Long Memory Volatility
by Adnan Kasman - 15-28 Banka ve Finans Kurumlarinin Ekonomik Krizden Etkilenme Duzeyleri ve Kriz Doneminde Uyguladiklari Yonetsel ve Orgutsel Politikalara Iliskin Yonetici Algilari
by Ozlem Balaban & Elvan Yildirim Okutan - 29-43 Kuresel Kriz Algisinin Kucuk Isletme Sahiplerinin Psikolojik Sagligina Etkisi
by Nihal Sututemiz & Ozlem Balaban & Elvan Yildirim Okutan
2008, Volume 8, Issue 2
- 1-32 Kuresel Isinma, Kuresellesme ve Gida Krizi - Turkiye'de Islenmis Gida Fiyatlari Uzerine Ampirik Bir Calisma
by Yusuf Soner Baskaya & Tugrul Gurgur & Fethi Ogunc