Financial Stability Indıcators of Turkish Banking Sector
Türk Bankacılık Sektöründe Finansal Sağlamlığın Belirleyicileri

Author : Yasemin Deniz KOÇ -& Ferit KARAHAN
Number of pages : 148-153

Abstract

Financial stability is, in general, that banks can operate steadily. This paper aims to examine the financial stability and that’s affecting factors by using Panel Regression Model in Turkish Banking Sector for participation banks. We used data for banks from the period between 2005-2015 for testing financial stability and factors that effects dependent variable. The result of the panel regression analysis: 4 factor effects dependent variable financial stability. These are asset quality, non-interest income, net asset profitability and liquidity variables. This paper contributes to the literature since it test the hypotheses which is not tested before for banks in Turkey

Keywords

Financial Stability, Panel Data, Regression Analysis, Turkish Banking Sector

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