Follow
Turalay Kenc
Turalay Kenc
Cambridge Judge Business School
Verified email at jbs.cam.ac.uk
Title
Cited by
Year
On the sources of aggregate risk premium: risk aversion, bubbles or regime-switching?
TE Caravello, J Driffill, T Kenc, M Sola
Journal of Economic Dynamics and Control, 104919, 2024
2024
Global corporate tax policy space
T Kenc, EI Cevik
Economic Systems 48 (2), 101197, 2024
2024
Effectiveness of Macroprudential Policies on Credit Surge and Stop Episodes
MF Ekinci, T Kenc, U Tamgac Tezcan
Open Economies Review, 1-29, 2024
2024
The future of monetary policy and communication
T Kenc
Elsevier, 2024
2024
Risk Aversion and Changes in Regime
T Caravello, T Kenc, J Driffill, M Sola
Available at SSRN 4371886, 2023
2023
Alibaba'larin dunyasina hazirlik acik bankacilik duzenlemeri
BS Usakli, T Kenc
Turkiye Bankalar Birligi, 2022
2022
Box B: Turkey's unorthodox monetary policy
T Kenc
National Institute Global Economic Outlook, 28-31, 2022
2022
Estimating volatility clustering and variance risk premium effects on bank default indicators
T Kenc, EI Cevik
Review of Quantitative Finance and Accounting 57 (4), 1373-1392, 2021
22021
Bank default indicators with volatility clustering
T Kenc, EI Cevik, S Dibooglu
Annals of Finance 17 (1), 127-151, 2021
92021
Business cycles and energy real options valuation
T Kenc, MF Ekinci
Applied Operations Research and Financial Modelling in Energy: Practical …, 2021
12021
Leverage, uncertainty and investment decisions
T Kenc, C Driver
Economics Letters 190, 109052, 2020
82020
International banking and cross-border effects of regulation: lessons from Turkey
YS Baskaya, M Binici, T Kenc
48th issue (March 2017) of the International Journal of Central Banking, 2018
62018
Cross-border effects of regulation: lessons from Turkey
YS Baskaya, M Binici, T Kenc
International Journal of Central Banking 13 (S1), 15-22, 2017
2017
Financial development and the effectiveness of macroprudential measures
YS Baskaya, T Kenç, I Shim, P Turner
BIS Paper, 2016
132016
Macroprudential regulation: history, theory and policy
T Kenç
BIS Paper, 2016
422016
Resilience of emerging market economies to global financial conditions
T Kenc, FP Erdem, İ Ünalmış
Central Bank Review 16 (1), 1-6, 2016
262016
Financial stress and economic activity in some emerging Asian economies
EI Cevik, S Dibooglu, T Kenc
Research in International Business and Finance 36, 127-139, 2016
1052016
Research in International Business and Finance
EI Cevik, S Dibooglu, T Kenc
2015
Real options with priced regime-switching risk
J Driffill, T Kenc, M Sola
International Journal of Theoretical and Applied Finance 16 (05), 1350028, 2013
172013
Measuring financial stress in Turkey
EI Cevik, S Dibooglu, T Kenc
Journal of Policy Modeling 35 (2), 370-383, 2013
1132013
The system can't perform the operation now. Try again later.
Articles 1–20