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Muhammed Hasan Yılmaz, PhD
Muhammed Hasan Yılmaz, PhD
Economist, Central Bank of the Republic of Türkiye | PhD, University of St Andrews
在 tcmb.gov.tr 的电子邮件经过验证 - 首页
标题
引用次数
引用次数
年份
The effect of environmental, social and governance risks
T Dogru, E Akyildirim, O Cepni, O Ozdemir, A Sharma, MH Yilmaz
Annals of Tourism Research 95, 103432, 2022
272022
Does climate change affect bank lending behavior?
C Aslan, E Bulut, O Cepni, MH Yilmaz
Economics Letters 220, 110859, 2022
182022
The sensitivity of credit default swap premium to global risk factor: Evidence from emerging markets
O Cepni, D Kucuksarac, MH Yilmaz
Economics Letters 159, 74-77, 2017
162017
Global uncertainties and portfolio flow dynamics of the BRICS countries
O Çepni, S Gül, YS Hacıhasanoğlu, MH Yılmaz
Research in International Business and Finance 54, 101277, 2020
152020
Credit decomposition and economic activity in Turkey: A wavelet-based approach
O Çepni, YS Hacıhasanoğlu, MH Yılmaz
Central Bank Review 20 (3), 109-131, 2020
142020
The impact of oil price shocks on Turkish sovereign yield curve
O Çepni, S Gül, MH Yılmaz, B Lucey
International Journal of Emerging Markets 17 (9), 2258-2277, 2022
122022
Capital flows under global uncertainties: Evidence from Turkey
O Çepni, MS Çolak, YS Hacıhasanoğlu, MH Yılmaz
Borsa Istanbul Review 21 (2), 175-185, 2021
122021
Nonlinear dynamics in exchange rate pass-through and inflation persistence: The case of Turkish economy
M Çiftçi, MH Yılmaz
Asian Journal of Economic Modelling 6 (1), 8-20, 2018
122018
Regulatory oversight and bank risk
DK Chronopoulos, JOS Wilson, MH Yilmaz
Journal of Financial Stability 64, 101105, 2023
82023
Monitoring and forecasting cyclical dynamics in bank credits: Evidence from Turkish banking sector
MS Colak, IE Guney, A Senol, MH Yilmaz
Research and Monetary Policy Department, Central Bank of the Republic of …, 2019
82019
Consumer loan rate dispersion and the role of competition: Evidence from Turkish banking industry
SB Baziki, Y Kılıç, MH Yılmaz
Central Bank Review 22 (1), 27-47, 2022
62022
Do local and global factors impact the emerging markets' sovereign yield curves? Evidence from a data‐rich environment
O Cepni, IE Guney, D Kucuksarac, M Hasan Yilmaz
Journal of Forecasting 40 (7), 1214-1229, 2021
62021
Composing a high-frequency financial conditions index and the implications for economic activity
A Kazdal, HI Korkmaz, MH Yilmaz
Borsa Istanbul Review 22 (4), 769-779, 2022
52022
Stakeholder orientation and bank payout policy: evidence from US constituency statutes
DK Chronopoulos, MH Yilmaz, JOS Wilson
British Journal of Management 34 (3), 1440-1458, 2023
42023
Factors impacting bank net interest margin and the role of monetary policy: Evidence from Turkey
MH Yılmaz
PQDT-Global, 2017
42017
Do the carry trades respond to geopolitical risks? Evidence from BRICS countries
O Cepni, F Emirmahmutoglu, IE Guney, MH Yilmaz
Economic systems 47 (2), 101000, 2023
32023
External vulnerabilities and exchange rate pass-through: the case of emerging markets
A Kazdal, MH Yılmaz
Central Bank of the Republic of Turkey Working Papers, 2021
32021
Forecasting local currency bond risk premia of emerging markets: The role of cross‐country macrofinancial linkages
O Cepni, R Gupta, IE Güney, M Yilmaz
Journal of Forecasting 39 (6), 966-985, 2020
32020
The determinants of FX Derivatives Use: Empirical evidence from Turkish non-financial firms in BIST
M Akay, D Kucuksarac, MH Yilmaz
CBT Research Notes in Economics, 2019
32019
The Interaction between Yield Curve and Macroeconomic Factors
O Cepni, IE Guney, D Kucuksarac, MH Yilmaz
CBT Research Notes in Economics, 2018
32018
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