Stability and Financial Performance of Banks in European Countries Bordering the Military Conflict in Ukraine

被引:0
|
作者
Karas, Marta Anita [1 ]
Boda, Michal [2 ]
机构
[1] Uniwersytet Ekon Wroclawiu, Katedra Inwestycji Finansowych & Zarzadzania Ryzyk, Wroclaw, Poland
[2] Uniwersytet Ekon Krakowie, Katedra Bankowosci & Globalnego Syst Finansowego, Krakow, Poland
来源
关键词
banking sector systemic risk war; in Ukraine system generalised method; of moments bank stability; WORLD-WAR-II; PROFITABILITY; DETERMINANTS; RISK; INVASION; MARKETS; IMPACT;
D O I
10.33119/GN/184318
中图分类号
F [经济];
学科分类号
02 ;
摘要
The paper examines the impact of the war in Ukraine on the financial condition and stability of banks in Central and Eastern European nations directly bordering on the countries involved in the military conflict, i.e., Ukraine, Russia, and Bela - rus. The research sample, consisting of 93 banks and 45 analysed variables, was selected based on the systematic literature review presented. The empirical study uses the system generalised method of moments (SGMM). To capture the studied impact, both binary and interactive variables were used. The results are discussed in relation to banking variables and those related to the macroeconomic situation. The study allowed us to conclude that there has been no significant deterioration in the capital position of banks. However, it showed a significant negative impact of several variables on the condition and stability of the studied banks, as cap - tured by other indicators. Additionally, the significance of 22 interactive variables indicates that the war in Ukraine has had a real impact on banks in the examined countries. Moreover, the results suggest that banks in countries with higher debt or budget deficits may be more affected by the war.
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页码:64 / 111
页数:48
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