The transmission of Federal Reserve tapering news to emerging financial markets J Aizenman, M Binici, MM Hutchison National Bureau of Economic Research, 2014 | 347 | 2014 |
Macroprudential policy and bank risk Y Altunbas, M Binici, L Gambacorta Journal of International Money and Finance 81, 203-220, 2018 | 338 | 2018 |
Controlling capital? Legal restrictions and the asset composition of international financial flows M Binici, M Hutchison, M Schindler Journal of International Money and Finance 29 (4), 666-684, 2010 | 273 | 2010 |
Exchange market pressure in OECD and emerging economies: Domestic vs. external factors and capital flows in the old and new normal J Aizenman, M Binici Journal of International Money and Finance 66, 65-87, 2016 | 138 | 2016 |
Credit ratings and the pricing of sovereign debt during the euro crisis J Aizenman, M Binici, M Hutchison Oxford Review of Economic Policy 29 (3), 582-609, 2013 | 106 | 2013 |
Trade openness, market competition, and inflation: Some sectoral evidence from OECD countries M Binici, YW Cheung, KS Lai International Journal of Finance & Economics 17 (4), 321-336, 2012 | 59 | 2012 |
Reserve requirements, liquidity risk, and bank lending behavior K Alper, M Binici, S Demiralp, H Kara, P Özlü Journal of Money, Credit and Banking 50 (4), 817-827, 2018 | 52 | 2018 |
Faiz koridoru ve banka faizleri: parasal aktarım mekanizmasına dair bazı bulgular M Binici, H Kara, P Özlü TCMB Çalışma Tebliği 16 (08), 1-36, 2016 | 51 | 2016 |
Reserve requirements, liquidity risk, and credit growth K Alper, M Binici, S Demiralp, H Kara, P Özlü Working Paper, 2014 | 50 | 2014 |
Faiz koridoru bir makro ihtiyati araç olabilir mi M Binici, H Erol, H Kara, P Özlü, D Ünalmış TCMB Ekonomi Notları 20 (19), 11-20, 2013 | 50 | 2013 |
Do credit rating agencies provide valuable information in market evaluation of sovereign default Risk? M Binici, M Hutchison Journal of International Money and Finance 85, 58-75, 2018 | 40 | 2018 |
Here comes the change: The role of global and domestic factors in post-pandemic inflation in Europe M Binici, S Centorrino, MS Cevik, G Gwon International Monetary Fund, 2022 | 37 | 2022 |
Are credit rating agencies discredited? Measuring market price effects from agency sovereign debt announcements M Binici, MM Hutchison, E Weicheng Miao BIS Working Paper, 2018 | 30 | 2018 |
Interest rate corridor: a new macroprudential tool? M Binici, H Erol, AH Kara, P Ozlu, D Unalmis CBT Research Notes in Economics, 2013 | 30 | 2013 |
Is the leverage of Turkish banks procyclical? M Binici, B Köksal Central Bank Review 12 (2), 11, 2012 | 30 | 2012 |
Monetary transmission with multiple policy rates: evidence from Turkey M Binici, H Kara, P Özlü Applied Economics 51 (17), 1869-1893, 2019 | 28 | 2019 |
Unconventional interest rate corridor and the monetary transmission: Evidence from Turkey M Binici, H Kara, P Özlü Central Bank of the Republic of Turkey Working Paper, 2016 | 24 | 2016 |
Stock return comovement and systemic risk in the Turkish banking system M Binici, B Köksal, C Orman Central Bank Review 13, 2013 | 20 | 2013 |
Capital flows in the post-global financial crisis era: implications for financial stability and monetary policy M Binici, M Yörükoglu Capital flows, commodity price movements and foreign exchange intervention …, 2011 | 20 | 2011 |
Exchange rate dynamics under alternative optimal interest rate rules M Binici, YW Cheung Pacific-Basin Finance Journal 20 (1), 122-150, 2012 | 17 | 2012 |