• A. Cimenoglu
  • M. Ferrazzi
  • D. Revoltella
Part of the Palgrave Macmillan Studies in Banking and Financial Institutions book series (SBFI)


Following the economic crisis of 2001, the Turkish economy and its financial sector undertook a profound transformation. This transformation, together with the strategic geo-political role of the country and the large size of the local market, makes Turkey a particularly interesting case among emerging markets.


Interest Rate Credit Card Banking System Mutual Fund Banking Sector 
These keywords were added by machine and not by the authors. This process is experimental and the keywords may be updated as the learning algorithm improves.


Unable to display preview. Download preview PDF.

Unable to display preview. Download preview PDF.


  1. Aldan, A. and Gaygisiz, E. (2006) ‘Convergence Across Provinces of Turkey: A Spatial Analysis’, CBRT Working Paper No. 06/09.Google Scholar
  2. Aktaş, Z. Kaya, N. and Öziale, U. (2005) ‘The Price Puzzle in Emerging Markets: Evidence from the Turkish Economy Using “Model Based” Risk Premium Derived from Domestic Fundamentals’, Central Bank of the Republic of Turkey, WP No. 05/02.Google Scholar
  3. Banking Regulation and Supervision Agency, ‘Annual Report’, various years.Google Scholar
  4. Banks’ Association of Turkey, ‘Banks in Turkey’, various years.Google Scholar
  5. Barysch, K. (2007) ‘What Europeans Think about Turkey and Why’, Centre for European Reform briefing note.Google Scholar
  6. Brooks, P. K. (2007) ‘The Bank Lending Channel of Monetary Transmission: Does It Work in Turkey?’, IMF Working Papers, WP 07/272.Google Scholar
  7. Central Bank of Turkey (2006) ‘Financial Stability Report’, Vol. 2.Google Scholar
  8. Centre for the Study of Political Change (CIRCaP) (2007) ‘European Elites Survey’.Google Scholar
  9. Cizre, Ü. and Çinar, M. (2007) ‘Turkey Between Secularism and Islam: The Justice and Development Party Experience’, ISPI WP 12.Google Scholar
  10. Claessens, S., Demirguc-Kunt, A. and Huizinga, H. (2001) ‘How Does Foreign Entry Affect Domestic Banking Markets?’, Journal of Banking and Finance, Vol. 25, pp. 891–911.CrossRefGoogle Scholar
  11. Domaç, İ. (2003) ‘Explaining and Forecasting Inflation in Turkey’, Central Bank of the Republic of Turkey, WP no. 05/02.Google Scholar
  12. European Central Bank (2006) ‘Macroeconomic and Financial Stability Challenges For Acceding and Candidate Countries’, ECB Occasional Paper Series, No. 48, 42–53.Google Scholar
  13. European Commission (2006) Attitudes towards European Enlargement, Eurobarometer.Google Scholar
  14. Ekinci, N.K. and Erturk, K. (2004) ‘Turkish Currency Crisis of 2000–1, Revisted’, CEPA Working Paper 2004–01.Google Scholar
  15. Emre Alper, C. and Öni, Z. (2003) ‘The Turkish Banking System, Financial Crises and the IMF in the Age of Capital Account Liberalization: A Political Economy Perspective’.Google Scholar
  16. Terrazzi, M. and Yucel, Y. (2007) ‘Turkey, the Challenges of the Biggest European Market’, East Europe and Asia Strategy, No. 14.Google Scholar
  17. Hagmayr, B. and Haiss, P. (2006) ‘Foreign Banks in Turkey and Other Eu Accession Countries — Does Minority vs. Majority Ownership Make the Difference?’, Europainstitut Wirtschaftsuniversitat Wien.Google Scholar
  18. Kasman, A. (2005) ‘The Sources of Inefficiency in the Turkish Banking Industry’, Yapi Kredi Economic Review, Vol. 16, No. 2, 3–19.Google Scholar
  19. Kesriyeli, M., Ozmen, E. and Yigit, S. (2005) ‘Corporate Sector Debt Composition and Exchange Rate Balance Sheet Effect in Turkey’, Central Bank of the Republic of Turkey, WP No. 05/16.Google Scholar
  20. Kraft, E. (2002) ‘Foreign Banks in Croatia: Another Look’, Croatian National Bank Working Papers, W-10.Google Scholar
  21. Lanine, G. and Vander Vennet, R. (2006) ‘Microeconomic Determinants of Acquisitions of Eastern European banks by Western European banks’, Universiteit Gent, WP 06–414.Google Scholar
  22. Mucci, F. and Revoltella, D. (2006) ‘Banking Systems in the New EU members and Acceding Countries’, Bank of Slovenia WP, No. 11.Google Scholar
  23. Narbone, L. and Tocci, N. (2007) ‘Running Around in Circles? The Cyclical Relationship Between Turkey and the European Union’, South European society and politics. Google Scholar
  24. Özatay, F. (2005) ‘Monetary Policy Challenges for Turkey in European Union Accession Process’, CBRT Working Paper No. 05/11.Google Scholar
  25. Özatay, F. and Sak, G. (2003) ‘Banking Sector Fragility and Turkey’s 2000–01 Financial Crisis’, CBRT Working Paper.Google Scholar
  26. Reininger, T, Schardax, F. and Summer, M. (2002) ‘Financial System Transition in Central Europe: The First Decade’, Suerf, Société Universitaire, Européenne de Recherches Financières, No.16.Google Scholar
  27. Robins, P. (2007) ‘Between the EU and the Middle East: Turkish Foreign Policy under the AKP Government, 2002–2007’, ISPI Working Papers, WP-11.Google Scholar
  28. Uiboupin, J. (2005) ‘Short-term Effects of Foreign Bank Entry on Bank Performance in Selected CEE Countries’, Eesti Pank Working Papers No. 4.Google Scholar
  29. World Economic Forum (2006) Global Risk Network, Europe@Risk, November.Google Scholar
  30. Zucconi, M. (2005) ‘The United States’ and Europe’s Turkish Connection. Europe’s Turn To Manage It’, CeSPI, Rome.Google Scholar

Copyright information

© A. Cimenoglu, M. Ferrazzi and D. Revoltella 2009

Authors and Affiliations

  • A. Cimenoglu
  • M. Ferrazzi
  • D. Revoltella

There are no affiliations available

Personalised recommendations