Publication: Economic development and its impact on Turkish banking sector
Program
KU-Authors
KU Authors
Co-Authors
Publication Date
Language
Type
Embargo Status
Journal Title
Journal ISSN
Volume Title
Alternative Title
Abstract
This chapter aims to understand the impact of major macroeconomic and regulatory changes on the Turkish banking sector. The authors specifically focus on the financial liberalization program of 1980s, inherent banking problems of 1990s, the 1994 currency crisis, the IMF stabilization program, the 2000-2001 financial crises, and the banking sector restructuring program of May 2001. © 2015, IGI Global.
Source
Publisher
IGI Global
Subject
Business, Finance, Economics
Citation
Has Part
Source
Handbook of Research on Strategic Developments and Regulatory Practice in Global Finance
Book Series Title
Edition
DOI
10.4018/978-1-4666-7288-8.ch016