Akin, Guzin Gulsun and Aysan, Ahmet Faruk and Yildiran, Levent (2008): Transformation of the Turkish Financial Sector in the Aftermath of the 2001 Crisis.
This is the latest version of this item.
Download (195Kb) | Preview
This paper attempts to delineate the evolution of the Turkish banking sector in the post-crisis era after 2001. The paper summarizes the events in the Turkish banking sector until the 2001 crisis. After that, a section focuses on the major regulatory changes. A detailed account of the consolidation and transformation of Turkish banks following the crisis is presented with reference to various structural indicators of the sector. Efficiency and foreign bank entry are examined in for the post-crisis period as well.
|Item Type:||MPRA Paper|
|Original Title:||Transformation of the Turkish Financial Sector in the Aftermath of the 2001 Crisis|
|English Title:||Transformation of the Turkish Financial Sector in the Aftermath of the 2001 Crisis|
|Keywords:||Turkish banking sector, post-crisis era after 2001, Efficiency, Foreign bank entry|
|Subjects:||O - Economic Development, Technological Change, and Growth > O1 - Economic Development
G - Financial Economics > G2 - Financial Institutions and Services
G - Financial Economics > G2 - Financial Institutions and Services > G21 - Banks; Depository Institutions; Micro Finance Institutions; Mortgages
|Depositing User:||Ahmet Faruk Aysan|
|Date Deposited:||12. Oct 2009 13:12|
|Last Modified:||11. Feb 2013 16:49|
Abbasoglu O.F, Aysan, A.F. and Gunes, A. (2007) ‘Concentration, Competition, Efficiency and Profitability of the Turkish Banking Sector in the Post-Crises Period’, Banks and Bank Systems, 2(3): 106-115.
Akçay, C. (2001) ‘Fallacies of a Fantasyland: The Turkish Banking Sector’, Private View: Quarterly International Review of the Turkish Industrialists, 10: 40-47.
Akyüz, Y, and Boratav, K. (2003) ‘The Making of the Turkish Financial Crisis’, World Development, 31(9): 1549-1566.
Al H. and Aysan A.F. (2006) ‘Assessing the Preconditions in Establishing an Independent Regulatory and Supervisory Agency in Globalized Financial Markets: The Case of Turkey’, International Journal of Applied Business and Economic Research 4: 125–146.
Alper, C. E. and Öniş, Z. (2004) ‘The Turkish Banking System, Financial Crises and the IMF in the Age of Capital Account Liberalization: A Political Economy Perspective’, New Perspectives on Turkey 30:24–54.
Aysan A.F., Karakaya, M.M. and Uyanık, M. (2009) ‘Panel Stochastic Frontier Analysis of the Profitability and Efficiency of the Turkish Banking Sector in the Post-Crises Era’, Boğaziçi University mimeo.
Aysan A.F. and Ceyhan, S.P. (2007) ‘Why Do Foreign Banks Invest in Turkey?’, Asian and African Journal of Economics and Econometrics, 7: 65-80.
Aysan A.F. and Ceyhan, S.P. (2008a) What Determines the Banking Sector Performance in Globalized Financial Markets? The Case of Turkey’, Physica A, 387(7): 1593-1602.
Aysan A.F. and Ceyhan, S.P. (2008b) ‘Globalization of Turkey's Banking Sector: Determinants of Foreign Bank Penetration in Turkey’, The International Research Journal of Finance and Economics, 15: 90-102.
Aysan A.F. and Ceyhan, S.P. (2008c) ‘Structural Change and Efficiency of Banking in Turkey: Does the Ownership Matter?’, Topics in Middle Eastern and North African Economies, MEEA Online Journal vol. 10. Available HTTP: <http://www.luc.edu/orgs/meea/volume10/meea10.html> (accessed 7 January 2008).
Banking Regulation and Supervision Agency (2007) ‘Structural Developments in Banking’, No:2.
Banking Regulation and Supervision Agency ‘Financial Markets Report’, various issues.
Banking Regulation and Supervision Agency (2001). ‘Towards a Sound Turkish Banking Sector’.
Celasun, O. (1998) ‘The 1994 Currency Crisis in Turkey’, World Bank Policy Research Working Paper No. 1913. Central Bank of the Republic of Turkey, ‘Financial Stability Report’, various issues. Denizer, C. (1999) ‘Foreign Entry in Turkey’s Banking Sector, 1980-97’, World Bank Policy Research Working Paper No. 2462.
Ersel, H. (1999) ‘Managing Financial Liberalization in Turkey: Consistent Banking Regulation’, Yapı Kredi Bank, mimeo.
Ertuğrul, A. and Selçuk, F. (2001) ‘A Brief Account of the Turkish Economy, 1980–2000’, Russian and East European Finance and Trade, 37(6): 6–30.
Öniş, Z. and Aysan, A.F. (2000) ‘Neoliberal Globalization, the Nation State and Financial Crises in the Semi-Periphery: A Comparative Analysis’, Third World Quarterly, 21(1): 119-139.
Özatay, F. and Sak, G. (2002). ‘Banking Sector Fragility and Turkey’s 2000-01 Financial Crisis’, in S. M. Collins and D. Rodrik (eds) Brookings Trade Forum 2002, Brookings Institution, Washington, D.C., 121-172.
Steinherr, A., Tükel, A. and Üçer, M. (2004) ‘The Turkish Banking Sector: Challenges and Outlook in Transition to EU Membership’, CEPS EU-Turkey Working Papers, No. 4.
The World Bank (2008) Global Development Finance.
Tirole, J. (2002) Financial Crises, Liquidity and the International Monetary System, Princeton University Press.
Uluceviz, E. and Yildiran, L. (2009) ‘Effects of International Interbank Lendings on Twin Crises’ H. Black, E. Kane and L.P. Blenman (eds) Banking and Capital Markets: New Perspectives (forthcoming).
Yildiran, L. (2008) ‘Understanding the Past to Understand the Present: An Analytical Review of the Crises Literature’, Bogazici University, mimeo.
Available Versions of this Item
Transformation of the Turkish Financial Sector in the Aftermath of the 2001 Crisis. (deposited UNSPECIFIED)
- Transformation of the Turkish Financial Sector in the Aftermath of the 2001 Crisis. (deposited 12. Oct 2009 13:12) [Currently Displayed]