All Stories

  1. Drivers of cryptocurrency regulation: cross-country empirical evidence from US congress data
  2. Green finance: do innovation, fintech and financial transparency play a role?
  3. Sustainable development goals: is the global framework for fighting financial crime aligned with environmental objectives?
  4. What drives Basel III implementation? A cross-country empirical investigation
  5. Perceptions on jurisdiction risk: a cross-country analysis
  6. Cross-jurisdictional financial crime risks: what can we learn from the UK regulatory data?
  7. Calibration issues under the EU capital regime for investment firms
  8. Can Fintech Promote Sustainable Finance? Policy Lessons from the Case of Turkey
  9. Climate-Related Prudential Risks in the Banking Sector: A Review of the Emerging Regulatory and Supervisory Practices
  10. Growth effects of inflation targeting revisited: empirical evidence from emerging markets
  11. Liability dollarization, exchange market pressure and fear of floating: empirical evidence for Turkey
  12. Finance–growth nexus revisited for some Asian countries
  13. Long-run relationship between income inequality and financial development in China
  14. Do macroeconomic fundamentals affect exchange market pressure? Evidence from bounds testing approach for Turkey
  15. Finance-growth nexus in China revisited: New evidence from principal components and ARDL bounds tests
  16. Explaining exchange rate movements: an application of the market microstructure approach on the Pakistani foreign exchange market
  17. Determinants of Exchange Market Pressure in Turkey: An Econometric Investigation
  18. CURRENCY CRISES IN EMERGING MARKETS: THE CASE OF POST-LIBERALIZATION TURKEY