An assessment of EU 2020 strategy: Too far to reach? MS Çolak, A Ege Social Indicators Research 110, 659-680, 2013 | 79 | 2013 |
The impacts of the global crisis on the Turkish economy, and policy responses H Cömert, MS Çolak The Global South after the Crisis, 223-254, 2016 | 49 | 2016 |
A new multivariate approach for assessing corporate financial risk using balance sheets MS Colak Borsa Istanbul Review 21 (3), 239-255, 2021 | 18 | 2021 |
Bank ownership and lending dynamics: Evidence from Turkish banking sector MS Çolak, A Şenol International Review of Economics & Finance 72, 583-605, 2021 | 16 | 2021 |
Capital flows under global uncertainties: Evidence from Turkey O Çepni, MS Çolak, YS Hacıhasanoğlu, MH Yılmaz Borsa Istanbul Review 21 (2), 175-185, 2021 | 12 | 2021 |
Gelişmekte Olan Ülkelerdeki Kriz Sırası ve Sonrasındaki Trendleri Açıklamakta" Güvenli Liman Faktörü" ve Finansal Şokların Boyutunun Önemi: Türkiye Örneği H Cömert, S Çolak Discussion Paper, 2013 | 12 | 2013 |
Foreign-currency debt and the exchange rate pass-through S Fendoğlu, MS Çolak, YS Hacıhasanoğlu Applied Economics Letters 27 (8), 657-666, 2020 | 11 | 2020 |
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 | 8 | 2019 |
The relationship between economic uncertainty and firms’ balance sheet strength MS Çolak, İE Güney, YS Hacıhasanoğlu Banking and Finance, 2020 | 6 | 2020 |
Can financial stability be maintained in developing countries after the global crisis: The role of external financial shocks? H Cömert, MS Çolak ERC-Economic Research Center, Middle East Technical University, 2014 | 6 | 2014 |
A new multivariate approach for assessing corporate financial risk using balance sheets. Borsa Istanbul Review, 21 (3), 239–255 MS Çolak | 5 | 2021 |
Can developing countries maintain financial stability after the global crisis? The role of external financial shocks H Cömert, M Selman Panoeconomicus 65 (2), 201-226, 2018 | 5 | 2018 |
A New Index Score for the Assessment of Firm Financial Risks MS Çolak Research and Monetary Policy Department, Central Bank of the Republic of …, 2019 | 4 | 2019 |
The Global South after the crisis: growth, inequality and development in the aftermath of the Great Recession H Cömert Edward Elgar Publishing, 2016 | 3 | 2016 |
The Possibility of financial crisis in Developing Countries under flexible exchange rate regimes: a multidimensional approach MS Çolak Middle East Technical University, 2012 | 1 | 2012 |
Market Concentration and Firm Markups: Micro Evidence from an Emerging Market with Inflationary Pressures MS Colak, A Kazdal, U Seven, MH Yilmaz Available at SSRN 4703871, 2024 | | 2024 |
An Application to Model Uncertainty in Modelling Non-Performing Loans MS Colak, Y Kilic, H Ozturk, ME Samci CBT Research Notes in Economics, 2024 | | 2024 |
It Is Not Your Risk But It Is Your Problem: A Spatial Analysis of Emerging Market Credit Default Swap Premia MS Colak, S Korkmaz, H Öztürk, MH Yilmaz Available at SSRN 4601546, 2023 | | 2023 |
Anticipating Credit Developments with Regularization and Shrinkage Methods: Evidence for Turkish Banking Industry SZ Atılgan, MS Colak, MH Yilmaz | | 2023 |
Yabanci Para Gelirler ve Doviz Pozisyonu Firma Bilanco Performansini Nasil Etkiliyor? MS Colak, A Senol CBT Research Notes in Economics, 2020 | | 2020 |