期刊名称:Ömer Halisdemir Üniversitesi İktisadi ve İdari Bilimler Fakültesi Dergisi
电子版ISSN:2564-6931
出版年度:2013
卷号:6
期号:2
DOI:10.25287/ohuiibf.211430
语种:English
出版社:Ömer Halisdemir Üniversitesi
摘要:The aim of this study is the measurement of Turkish banking sector’s resistance against the financial crises in the world and it shows legal regulations on banking after the twin crises and also it shows whether this legal regulations successful or not. In this context,twenty two banks which operating in Turkish banking sector;divided into four different group. According to their size,foreign share holders,whether it is public or private. Their correlation coefficient has been calculated and as looking at the Basel II criteria’s which published in 2004,T-Test analysis has been done with SPSS.In this study,some variables have been used such as return on equity,Follow-up Loans,Capital Adequacy,In order to test the hypotheses of the study,the report “Türkiye’de Bankacılık Sistemi Seçilmiş Rasyolar 2001-2010”,published by Turkish Banking Association in June 201,has been used as the basic data resource. Some findings,which supports that Turkey got over the crisis in 2008 with minor loss according to previous crises,have been involved in the result of the study.In this regard Basel III ciriteria,which were emerged after global crisis,has been discussed what it will bring.
其他摘要:Çalışmanın amacı,Türk bankacılık sektörünün dünyadaki finansal krize karşı direncinin ölçümü ve ikiz krizler sonrası bankalara konulan yasal düzenlemelerin başarılı olup olmadığını göstermektir. Bu bağlamda Türk bankacılık sektöründe faaliyet gösteren 22