Konu "Financial Stability" için İktisadi ve İdari Bilimler Fakültesi Koleksiyonu listeleme
Toplam kayıt 3, listelenen: 1-3
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Credit default risk in Islamic and conventional banks: Evidence from a GARCH option pricing model
(Elsevier, 2022)An important question in banking is whether restrictions placed on Islamic banks make them more resilient to financial market turmoil and less prone to failure than conventional banks. We evaluate this claim by estimating ... -
Examining the effect of credit on monetary policy with Markov regime switching: Evidence from Turkey
(Sciendo, 2022)This paper analyses the effect of credit on monetary policy responses for different regimes in Turkey. To do so, the Taylor rule augmented with the credit gap is estimated by using a Markov regime switching model from ... -
Gold, silver, and the US dollar as harbingers of financial calm and distress
(Elsevier Science Inc, 2022)In this paper, we investigate the relationship between gold, silver, and the US dollar returns and financial stress to shed light on the circumstances where these assets serve as attractive investment vehicles and whether ...