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compared in terms of classification accuracy. Models are estimated for 1995-2000 period prior to bank failures. In addition to …
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study presented that it was not possible to predict the transfer of a bank to SDIF by the use of CAMELS ratios …
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Turkish Abstract: Bu çalışma tebliğinde yönetim biliminin ve finans kuramlarının yol göstericiliği altında Türkiye'de anonim şirketlerde icra ve kontrol işlevlerinin örtüşmesine yol açan yapılanmaların yasalar, mevzuat ve genel kabul görmüş yönetişim ilkeleri açısından...
Persistent link: https://www.econbiz.de/10012933382
general manager of the bank are used for the board characteristics. According to the results obtained from the study, there is … independent directors and the proportion of foreign directors are found to be negatively related to bank profitability. It has … also been observed that the influence of dual position of the chairman of the board and general manager of the bank on …
Persistent link: https://www.econbiz.de/10013292011
Turkish Abstract: Bu çalışmanın amacı, İMKB–100 endeksinde yer alan 51 firma için kurumsal yönetim ile firma performansı arasındaki ilişkiyi Panel Lojistik Regresyon Modelleri (PLRM) kullanarak test etmektir. Analizler, 1998-2007 dönemini kapsayan 10 yıllık veri dikkate alınarak...
Persistent link: https://www.econbiz.de/10012999184
Turkish Abstract: Türkiye'de halka açık şirketlerin KY uygulamalarını düzenleyen Sermaye Piyasası Kurulu (SPK), 2019 yılı itibarıyla uygulanacak KY uyum raporlamasına yönelik çerçeveyi güncellemiştir. Bu kapsamda, halka açık şirketler 2018 yılına ilişkin KY Uyum Rapor...
Persistent link: https://www.econbiz.de/10012845074
In this study, the main purpose is to analyze the factors that stimulate the probability of financial crises. The period of analysis covers the years of 1970-2008, thereby including the impact of recent global financial crisis. The analysis aims to make a comparison for the developed and...
Persistent link: https://www.econbiz.de/10010320458
In this study, the main purpose is to analyze the factors that stimulate the probability of financial crises. The period of analysis covers the years of 1970-2008, thereby including the impact of recent global financial crisis. The analysis aims to make a comparison for the developed and...
Persistent link: https://www.econbiz.de/10009578760