Access Statistics for Mahir Binici

Author contact details at EconPapers.

Working Paper File Downloads Abstract Views
Last month 3 months 12 months Total Last month 3 months 12 months Total
Are credit rating agencies discredited? Measuring market price effects from agency sovereign debt announcements 0 0 0 51 3 6 9 152
Controlling Capital? Legal Restrictions and the Asset Composition of International Financial Flows 0 0 1 236 1 11 14 574
Credit Ratings and the Pricing of Sovereign Debt during the Euro Crisis 0 0 2 105 2 10 15 269
Credit Ratings and the Pricing of Sovereign Debt during the Euro Crisis 0 0 1 29 3 4 6 87
Do Bank Stockholders Share the Burden of Required Reserve Tax? Evidence from Turkey 0 0 0 27 4 6 7 141
Exchange Market Pressure in OECD and Emerging Economies: Domestic vs. External Factors and Capital Flows in the Old and New Normal 0 0 0 106 5 19 21 258
Exchange Market Pressure in OECD and Emerging Economies: Domestic vs. External Factors and Capital Flows in the Old and New Normal 0 0 1 5 1 6 13 56
Exchange Rate Dynamics Under Alternative Optimal Interest Rate Rules 0 0 0 25 3 4 4 113
Exchange Rate Dynamics under Alternative Optimal Interest Rate Rules 0 0 0 47 0 2 3 102
Exchange Rate Dynamics under Alternative Optimal Interest Rate Rules 0 0 0 86 0 0 1 252
Exchange Rate Equations Based on Interest Rate Rules: In-Sample and Out-of-Sample Performance (Faiz Kurallarina Dayali Doviz Kuru Denklemleri: Orneklem Ici ve Disi Performans) 0 0 0 76 2 3 3 181
Faiz Koridoru ve Banka Faizleri: Parasal Aktarim Mekanizmasina Dair Bazi Bulgular 0 3 42 350 6 18 521 2,523
Here Comes the Change: The Role of Global and Domestic Factors in Post-Pandemic Inflation in Europe 0 0 1 17 0 4 9 44
Interest Rate Corridor: A New Macroprudential Tool? 2 3 7 730 4 11 27 3,468
Kaldirac ve Dongusellik 0 0 0 19 1 2 2 100
Macroprudential policy and bank risk 0 0 1 149 1 8 11 300
Macroprudential policy and bank risk 0 0 0 161 3 6 8 204
Monetary Policy Communication and Financial Markets in India 0 1 5 23 4 16 37 66
Pass-Through del Tipo de Cambio y Política Monetaria: Evidencia Empírica de los Países del OECD 0 0 1 394 0 1 4 739
Reserve Requirements, Liquidity Risk and Credit Growth 0 0 2 169 2 3 14 401
Reserve Requirements, Liquidity Risk, and Bank Lending Behavior 0 0 2 192 6 9 23 459
Reserve Requirements, Liquidity Risk, and Credit Growth 0 0 1 273 0 3 10 536
Stock Return Comovement and Systemic Risk in the Turkish Banking System 0 0 1 47 3 3 6 168
Stock return comovement and systemic risk in the Turkish banking system 0 0 0 37 3 3 4 136
The Transmission of Federal Reserve Tapering News to Emerging Financial Markets 0 0 0 104 0 0 4 179
The Transmission of Federal Reserve Tapering News to Emerging Financial Markets 0 0 0 172 5 14 21 413
Trade Openness, Market Competition, and Inflation: Some Sectoral Evidence from OECD Countries 0 0 1 67 1 5 11 215
Trade Openness, Market Competition, and Inflation: Some Sectoral Evidence from OECD Countries 0 0 0 80 2 4 7 314
Turkiye’de Asiri Kredi Genislemeleri 0 0 1 23 3 3 4 76
Turkiye’de Finansal Cevrimler ve Is Cevrimleri: Ne Kadar Farkli, Ne Kadar Baglantili? 0 1 2 61 0 1 3 276
Total Working Papers 2 8 72 3,861 68 185 822 12,802


Journal Article File Downloads Abstract Views
Last month 3 months 12 months Total Last month 3 months 12 months Total
Controlling capital? Legal restrictions and the asset composition of international financial flows 0 0 1 187 2 3 7 599
Credit ratings and the pricing of sovereign debt during the euro crisis 0 0 0 34 2 5 12 255
Do Bank Stockholders Share the Burden of Required Reserve Tax? Evidence from Turkey 0 0 0 15 0 1 2 110
Do credit rating agencies provide valuable information in market evaluation of sovereign default Risk? 0 0 0 19 0 3 5 101
Exchange market pressure in OECD and emerging economies: Domestic vs. external factors and capital flows in the old and new normal 0 3 4 87 4 12 22 399
Here Comes the Change: The Role of Global and Domestic Factors in Post-Pandemic Inflation in Europe 0 1 3 17 2 4 25 57
International Banking and Cross-Border Effects of Regulation: Lessons from Turkey 0 0 0 20 0 1 5 94
Is the Leverage of Turkish Banks Procyclical? 0 0 0 41 2 3 6 180
Macroprudential policy and bank risk 0 0 8 179 3 15 42 655
Market price effects of agency sovereign debt announcements: Importance of prior credit states 0 0 1 8 0 4 6 46
Monetary transmission with multiple policy rates: evidence from Turkey 1 2 5 38 2 3 8 120
Net external position, financial development, and banking crisis 0 0 1 2 1 4 6 28
Recalibration of capital controls: Evidence from the IMF taxonomy 0 0 3 51 1 4 18 135
Reserve Requirements, Liquidity Risk, and Bank Lending Behavior 1 3 4 48 1 8 22 189
Stock Return Co-movement and Systemic Risk in the Turkish Banking System 0 1 1 20 2 5 7 130
The Incidence of Capital Flow Management Measures: Observations from a New Database 4 17 37 65 6 30 84 128
The Transmission of Federal Reserve Tapering News to Emerging Financial Markets 0 0 3 113 3 7 26 410
Total Journal Articles 6 27 71 944 31 112 303 3,636


Chapter File Downloads Abstract Views
Last month 3 months 12 months Total Last month 3 months 12 months Total
Capital flows in the post-global financial crisis era: implications for financial stability and monetary policy 0 0 2 65 3 7 12 221
Total Chapters 0 0 2 65 3 7 12 221


Statistics updated 2026-01-09