Finansal Kırılganlık ve Türk Bankacılık Sektörü İçin 2002-2011 Dönemi Finansal Kırılganlık Endeksi    
Yazarlar (2)
Prof. Dr. Salih BARIŞIK Tokat Gaziosmanpaşa Üniversitesi, Türkiye
Baki Demirel
Türkiye
Makale Türü Özgün Makale
Makale Alt Türü Diğer hakemli uluslarası dergilerde yayınlanan tam makale
Dergi Adı TİSK Akademi
Dergi ISSN 1306-6757
Dergi Tarandığı Indeksler ASOS
Makale Dili Türkçe
Basım Tarihi 09-2014
Cilt No 9
Sayı 17
Sayfalar 119 / 140
Özet
Financial Fragility and Turk Banking Sectors Financial Fragility Index for the Period 2002-2010It has been mentioned that there are many factors, either macroeconomic or microeconomic, and including the bank-specific conditions which increase the vulnerability of financial sector or more specifically the fragility of banking sector. These factors increase the financial fragility and the fragility of banks via adversely affecting profitability of banks and/or raising the possibility of decrease in default of the banking sector. The aim of this study is to analyze the structure of fragility of the Turkish banking sector after the strong economy program. Financial fragility index is an important indicator which is appropriate for application of time series. The research of Kibritçioğlu (2002) anf Singh (2010) provide the methodological reference in determining the index. In determining financial fragility, the deposit and credit structure of …
Anahtar Kelimeler
BM Sürdürülebilir Kalkınma Amaçları
Atıf Sayıları
Google Scholar 16

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