کد مقاله کد نشریه سال انتشار مقاله انگلیسی نسخه تمام متن
5084775 1477918 2014 12 صفحه PDF دانلود رایگان
عنوان انگلیسی مقاله ISI
The effect of financial market development on bank risk: evidence from Southeast Asian countries
ترجمه فارسی عنوان
تأثیر توسعه بازار مالی بر ریسک بانک: شواهد از کشورهای جنوب شرقی آسیا
موضوعات مرتبط
علوم انسانی و اجتماعی اقتصاد، اقتصادسنجی و امور مالی اقتصاد و اقتصادسنجی
چکیده انگلیسی
This paper examines how bank risk varies with changes in financial markets development in a broad data set of 52 publicly listed commercial banks in five Southeast Asian countries over a 23-year period between 1990 and 2012. A consequence of two financial crises (i.e. the Asian financial crisis of 1997-1998 and the global financial crisis of 2007-2009) provides a natural experiment in which linkages between financial markets development and bank risk are measured. Empirical results show that higher degrees of financial markets development are associated with weaker bank capital positions and are positively related to higher degrees of bank revenue diversification. There is also evidence for a U-shaped relationship between the degree of financial markets development and bank capital.
ناشر
Database: Elsevier - ScienceDirect (ساینس دایرکت)
Journal: International Review of Financial Analysis - Volume 35, October 2014, Pages 249-260
نویسندگان
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