Comparative studies of risk, concentration and efficiency in transition economies
Анотація
This paper compares the risk taking behaviour of banks in two groups of early and late transition countries during two periods: the pre-crisis (2000-2006) and the financially turbulent (2007-2012). Using data for 254 banks for the period 2000-2012 we find that during the stable period (2000-2006) the banks with higher concentration and higher technical efficiency take more risks in the late transition countries, while this is ambiguous for the turbulent period (2007-2012). This supports the ‘competition-stability’ hypothesis during the stable period (2000-2006) for the late transition countries. Although the concentration ratio did not change much in the early transition countries for the periods 2000-2006 and 2007-2012, the banks with higher concentration and higher technical efficiency tend to take less risks during the stable period (2000-2006), but more during the turbulent period (2007-2012).
Класифікація
Ідентифікатори
Рецензії (0)
Написати рецензіюРецензій ще немає. Будьте першим!
Схожі роботи
Deposit insurance systems of post-Soviet countries: A comparative analysis
Схоже за: Global Financial Crisis and Policies · Insurance and Financial Risk Management · Banking stability, regulation, efficiency
Some Definitions of Deposit Risk for a Financial Institution
Схоже за: Global Financial Crisis and Policies · Insurance and Financial Risk Management · Banking stability, regulation, efficiency
THE GLOBAL FINANCIAL MARKET ASYMETRIES AND CRYPTOCURRENCIES EXPANSION
Схоже за: Global Financial Crisis and Policies · Insurance and Financial Risk Management · Banking stability, regulation, efficiency
Assessment of banks' resilience and financial stress in countercyclical martial law conditions
Схоже за: Global Financial Crisis and Policies · Insurance and Financial Risk Management · Banking stability, regulation, efficiency
MACROFINANCIAL RESPONSIBILITY OF CENTRAL BANKS: THEORETICAL FOUNDATIONS AND INSTITUTIONAL DILEMMAS
Схоже за: Global Financial Crisis and Policies · Banking stability, regulation, efficiency
Banking system stability in crisis periods: The impact of the banking regulator independence
Схоже за: Global Financial Crisis and Policies · Banking stability, regulation, efficiency