Binici, Mahir
35  Ergebnisse:
Personensuche X
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2

Recalibration of capital controls: Evidence from the IMF ta..:

Binici, Mahir ; Das, Mitali
Journal of International Money and Finance.  110 (2021)  - p. 102252 , 2021
 
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3

Market price effects of agency sovereign debt announcements..:

Binici, Mahir ; Hutchison, Michael ; Miao, Evan Weicheng
International Review of Economics & Finance.  69 (2020)  - p. 769-787 , 2020
 
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5

Reserve Requirements, Liquidity Risk, and Bank Lending Beha..:

ALPER, KORAY ; BINICI, MAHIR ; DEMIRALP, SELVA..
Journal of Money, Credit and Banking.  50 (2018)  4 - p. 817-827 , 2018
 
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7

Reserve Requirements, Liquidity Risk, and Bank Lending Beha..:

ALPER, KORAY ; BINICI, MAHIR ; DEMIRALP, SELVA..
Journal of Money, Credit and Banking.  50 (2018)  4 - p. 817-827 , 2018
 
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8

Macroprudential policy and bank risk:

Altunbas, Yener ; Binici, Mahir ; Gambacorta, Leonardo
Journal of International Money and Finance.  81 (2018)  - p. 203-220 , 2018
 
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9

Do credit rating agencies provide valuable information in m..:

Binici, Mahir ; Hutchison, Michael
Journal of International Money and Finance.  85 (2018)  - p. 58-75 , 2018
 
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11

Exchange market pressure in OECD and emerging economies: Do..:

Aizenman, Joshua ; Binici, Mahir
Journal of International Money and Finance.  66 (2016)  - p. 65-87 , 2016
 
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14

Do Bank Stockholders Share the Burden of Required Reserve T..:

Binici, Mahir ; Köksal, Bülent
Emerging Markets Finance and Trade.  49 (2013)  4 - p. 46-73 , 2013
 
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15

Do Bank Stockholders Share the Burden of Required Reserve T..:

Binici, Mahir ; Köksal, Bülent
Emerging Markets Finance & Trade.  49 (2013)  4 - p. 46-73 , 2013
 
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