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Muhammed Hasan Yılmaz, PhD
Muhammed Hasan Yılmaz, PhD
Economist, Central Bank of the Republic of Türkiye | PhD, University of St Andrews
Verified email at tcmb.gov.tr - Homepage
Title
Cited by
Cited by
Year
The effect of environmental, social and governance risks
T Dogru, E Akyildirim, O Cepni, O Ozdemir, A Sharma, MH Yilmaz
Annals of Tourism Research 95, 103432, 2022
252022
The sensitivity of credit default swap premium to global risk factor: Evidence from emerging markets
O Cepni, D Kucuksarac, MH Yilmaz
Economics Letters 159, 74-77, 2017
162017
Does climate change affect bank lending behavior?
C Aslan, E Bulut, O Cepni, MH Yilmaz
Economics Letters 220, 110859, 2022
152022
Global uncertainties and portfolio flow dynamics of the BRICS countries
O Çepni, S Gül, YS Hacıhasanoğlu, MH Yılmaz
Research in International Business and Finance 54, 101277, 2020
142020
Credit decomposition and economic activity in Turkey: A wavelet-based approach
O Çepni, YS Hacıhasanoğlu, MH Yılmaz
Central Bank Review 20 (3), 109-131, 2020
142020
Capital flows under global uncertainties: Evidence from Turkey
O Çepni, MS Çolak, YS Hacıhasanoğlu, MH Yılmaz
Borsa Istanbul Review 21 (2), 175-185, 2021
122021
Nonlinear dynamics in exchange rate pass-through and inflation persistence: The case of Turkish economy
M Çiftçi, MH Yılmaz
Asian Journal of Economic Modelling 6 (1), 8-20, 2018
112018
The impact of oil price shocks on Turkish sovereign yield curve
O Çepni, S Gül, MH Yılmaz, B Lucey
International Journal of Emerging Markets 17 (9), 2258-2277, 2021
92021
Monitoring and forecasting cyclical dynamics in bank credits: Evidence from Turkish banking sector
MS Colak, IE Guney, A Senol, MH Yilmaz
Research and Monetary Policy Department, Central Bank of the Republic of …, 2019
82019
Regulatory oversight and bank risk
DK Chronopoulos, JOS Wilson, MH Yilmaz
Journal of Financial Stability 64, 101105, 2023
72023
Composing a high-frequency financial conditions index and the implications for economic activity
A Kazdal, HI Korkmaz, MH Yilmaz
Borsa Istanbul Review 22 (4), 769-779, 2022
52022
Consumer loan rate dispersion and the role of competition: Evidence from Turkish banking industry
SB Baziki, Y Kılıç, MH Yılmaz
Central Bank Review 22 (1), 27-47, 2022
52022
Stakeholder orientation and bank payout policy: evidence from US constituency statutes
DK Chronopoulos, MH Yilmaz, JOS Wilson
British Journal of Management 34 (3), 1440-1458, 2023
42023
Do local and global factors impact the emerging markets' sovereign yield curves? Evidence from a data‐rich environment
O Cepni, IE Guney, D Kucuksarac, M Hasan Yilmaz
Journal of Forecasting 40 (7), 1214-1229, 2021
42021
Factors impacting bank net interest margin and the role of monetary policy: Evidence from Turkey
MH Yılmaz
PQDT-Global, 2017
42017
External vulnerabilities and exchange rate pass-through: the case of emerging markets
A Kazdal, MH Yılmaz
Central Bank of the Republic of Turkey Working Papers, 2021
32021
Forecasting local currency bond risk premia of emerging markets: The role of cross‐country macrofinancial linkages
O Cepni, R Gupta, IE Güney, M Yilmaz
Journal of Forecasting 39 (6), 966-985, 2020
32020
The determinants of FX Derivatives Use: Empirical evidence from Turkish non-financial firms in BIST
M Akay, D Kucuksarac, MH Yilmaz
CBT Research Notes in Economics, 2019
32019
The Interaction between Yield Curve and Macroeconomic Factors
O Cepni, IE Guney, D Kucuksarac, MH Yilmaz
CBT Research Notes in Economics, 2018
32018
Income Inequality and Its Measures: Evidence from OECD and European Countries
MH Yilmaz, F Ali, M Mubeen, M Waqas
Journal of Poverty, Investment and Development 20 (1), 9-25, 2016
32016
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