Now showing items 1-4 of 4

    • Depositors' assessment of bank riskiness in the Russian Federation 

      Ungan, E.; Caner, S.; Özyıldırım, S. (Springer, 2008)
      In the period after the crises in the late 1990s, the banking industries in most emerging markets have undergone significant restructuring consistent with the Basel II Accord. The Central Bank of Russia's efforts since ...
    • How sensitive are bank managers to shareholder value? 

      Caner, S.; Özyıldırım, S.; Ungan, A. E. (Springer New York, 2012)
      We test for the existence of market discipline by shareholders of banks with a wide range of ownership structures. Discipline by shareholders manifests itself through monitoring banks' level of risk as well as through ...
    • Market reaction to risky banks: did generous deposit guarantee change it? 

      Önder, Z.; Özyildirim, S. (Pergamon Press, 2008)
      Turkey experienced a massive banking crisis in February 2001, resulting in the loss of more than a thousand managerial jobs and the closure of 21% of all bank branches in the market. In this paper, we study the behavior ...
    • What do depositors know about risk? 

      Caner, S.; Özyıldırım, S.; Ungan, A. E. (Izdatel'skii Dom Natsional'nogo Issledovatel'skogo Universiteta "Vysshaya Shkola Ekonomiki", 2013)
      The limited success of bank supervision can be better understood by taking into consideration the country conditions and market-based measures that are effective in constraining bank risk. In the case of Russian Federation ...