A Closer Look At Turkish Banks' Asset Quality




S&P Ratings show

Summary: Following fast credit growth in recent years, heightened domestic political risk, and reverberations of the U.S. Federal Reserve's tapering, Turkish banks' asset quality appears more vulnerable. In this CreditMatters TV segment, Standard & Poor's Magar Kouyoumdjian explains what has contributed to increased risks and the mitigating factors specific to Turkey's banking sector.