Financial networks and systemic risk vulnerabilities: A tale of Indian banks

被引:3
|
作者
Ahmad, Wasim [1 ,2 ]
Tiwari, Shiv Ratan [1 ]
Wadhwani, Akshay [3 ]
Khan, Mohammad Azeem [4 ]
Bekiros, Stelios [5 ,6 ]
机构
[1] Indian Inst Technol Kanpur, Dept Econ Sci, Kanpur 208016, India
[2] London Sch Econ & Polit Sci LSE, LSE India Observ, London, England
[3] Indian Inst Technol Kanpur, Dept Econ Sci, Kanpur 208016, Uttar Pradesh, India
[4] OP Jindal Global Univ, Jindal Global Business Sch, Sonipat, India
[5] Univ Malta, Dept Banking & Finance, FEMA, Msida, Malta
[6] European Univ Inst, Dept Econ, Via Fontanelle 18, I-50014 Florence, Italy
关键词
Systemic Risk; Financial Stability; Stability Network Approach; Value at Risk; CoVaR; Indian Banks; CONNECTEDNESS; CONTAGION;
D O I
10.1016/j.ribaf.2023.101962
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
This study identifies the nature and direction of unprecedented upheavals in the Indian banking sector which is linked to credit market asymmetry. A tail-driven network approach with a mixed sample of banks and firms exhibits the characteristics of the twin-balance-sheet syndrome. We construct the networks with a degree of interconnectedness at different quantiles and identify major systemic risk emitters and receivers. Furthermore, we find a spillover of the riskiness of deep-in-debt firms to banks. Smaller banking institutions evince a greater connection to banks and firms than larger ones. Our results are valuable for policymakers formulating financial sta-bilization policies and investors considering Indian markets for various opportunities.
引用
收藏
页数:18
相关论文
共 50 条
  • [1] Financial penalties and banks' systemic risk
    Koester, Hannes
    Pelster, Matthias
    JOURNAL OF RISK FINANCE, 2018, 19 (02) : 154 - 173
  • [2] Analysing the systemic risk of Indian banks
    Verma, Ramprasad
    Ahmad, Wasim
    Uddin, Gazi Salah
    Bekiros, Stelios
    ECONOMICS LETTERS, 2019, 176 : 103 - 108
  • [3] Systemic risk and financial networks
    Li, Bingqing
    Zhang, Xiaoyuan
    QUARTERLY REVIEW OF ECONOMICS AND FINANCE, 2024, 94 : 25 - 36
  • [4] THE VULNERABILITIES OF BANKS IN FINANCIAL GLOBALISATION: THE EXAMPLE OF THE EUROZONE
    Delaite, Marie-Francoise
    ENJEUX DU DEVELOPPMENT ECONOMIQUE, FINANCIER ET ECOLOGIQUE DANS UNE MONDIALISATION RISQUEE, 2018, : 174 - 184
  • [5] Systemic risk shifting in financial networks
    Elliott, Matthew
    Georg, Co-Pierre
    Hazell, Jonathon
    JOURNAL OF ECONOMIC THEORY, 2021, 191
  • [6] Systemic Risk and Stability in Financial Networks
    Acemoglu, Daron
    Ozdaglar, Asuman
    Tahbaz-Salehi, Alireza
    AMERICAN ECONOMIC REVIEW, 2015, 105 (02): : 564 - 608
  • [7] Networks and systemic risk in the financial system
    Gai, Prasanna
    Kapad, Sujit
    OXFORD REVIEW OF ECONOMIC POLICY, 2019, 35 (04) : 586 - 613
  • [8] Systemic risk mitigation in financial networks
    Capponi, Agostino
    Chen, Peng-Chu
    JOURNAL OF ECONOMIC DYNAMICS & CONTROL, 2015, 58 : 152 - 166
  • [9] Systemic Risk in Financial Networks: A Survey
    Jackson, Matthew O.
    Pernoud, Agathe
    ANNUAL REVIEW OF ECONOMICS, VOL 13, 2021, 2021, 13 : 171 - 202
  • [10] Systemic Risk in Indian Financial Institutions: A Probabilistic Approach
    Karmakar, Subhash
    Bandyopadhyay, Gautam
    Mukhopadhyay, Jayanta Nath
    ASIA-PACIFIC FINANCIAL MARKETS, 2024, 31 (03) : 579 - 656