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dc.contributor.authorDemirgunes, Kartal
dc.contributor.authorUcler, Gulbahar
dc.contributor.editorHacioglu, U
dc.contributor.editorDincer, H
dc.date.accessioned2019-11-24T20:58:06Z
dc.date.available2019-11-24T20:58:06Z
dc.date.issued2017
dc.identifier.isbn9783319470214; 9783319470207
dc.identifier.issn1431-1933
dc.identifier.urihttps://dx.doi.org/10.1007/978-3-319-47021-4_25
dc.identifier.urihttps://hdl.handle.net/20.500.12513/2982
dc.descriptionWOS: 000409545700027en_US
dc.description.abstractd This study aims to shed light on the relationship between liquidity and financial performance in Turkish banking sector by comparing pre and post 2008 financial crisis periods. Throughout this aim, a panel data covering the period of 2001. Q1-2015. Q3 for the state-owned and privately-owned deposit banks in Turkey is analyzed by Breusch and Pagan (The Review of Economic Studies 47: 239-253, 1980) and Pesaran (Cambridge Working Papers in Economics, No. 435, 2004) using cross-dependency tests; cross-sectional Augmented Dickey Fuller test of Pesaran (Journal of Applied Econometrics 22: 265-312, 2007); panel cointegration test of Westerlund (Journal of Applied Econometrics, 23: 193-233, 2008); Augmented Mean Group estimator developed by Eberhardt and Bound (MPRA Paper, No. 17870, 2009) and panel causality test of Dumitrescu and Hurlin (Economic Modelling 29: 1450-1460, 2012), respectively. Empirical findings indicate that in both pre and post crisis periods, liquidity has statistically positive effect on financial performance of Turkish banking sector. It can be concluded that the effect of 2008 financial crisis on Turkish banks has not been so severe, in terms of financial performance-liquidity relationship. Another empirical finding of the study is the existence of bi-directional causality relationship between liquidity and financial performance of Turkish banking sector, in both pre and post crisis periods.en_US
dc.language.isoengen_US
dc.publisherSPRINGER INTERNATIONAL PUBLISHING AGen_US
dc.relation.ispartofseriesContributions to Economics
dc.relation.isversionof10.1007/978-3-319-47021-4_25en_US
dc.rightsinfo:eu-repo/semantics/closedAccessen_US
dc.titleInvestigating the Relationship Between Liquidity and Financial Performance in Turkish Banking Sector: A Pre and Post 2008 Financial Crisis Assessmenten_US
dc.typearticleen_US
dc.relation.journalGLOBAL FINANCIAL CRISIS AND ITS RAMIFICATIONS ON CAPITAL MARKETS: OPPORTUNITIES AND THREATS IN VOLATILE ECONOMIC CONDITIONSen_US
dc.contributor.departmentKırşehir Ahi Evran Üniversitesi, İktisadi ve İdari Bilimler Fakültesi, İşletme Bölümüen_US
dc.identifier.startpage347en_US
dc.identifier.endpage369en_US
dc.relation.publicationcategoryMakale - Uluslararası Hakemli Dergi - Kurum Öğretim Elemanıen_US


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