Crisis sentiment and banks' stock price crash risk: A missing piece of the puzzle?

被引:6
|
作者
Tzomakas, Christos [4 ]
Anastasiou, Dimitrios [1 ,4 ]
Katsafados, Apostolos [2 ,4 ]
Krokida, Styliani Iris [3 ,4 ]
机构
[1] Alpha Bank, Econ Res Div, Athens, Greece
[2] Bank Greece, Dept Stat, Athens, Greece
[3] Amer Coll Greece, Deree Coll, Athens, Greece
[4] Athens Univ Econ & Business, Dept Accounting & Finance, Athens, Greece
关键词
Stock price crash risk; Crisis sentiment; Textual analysis; Panel VAR; UNIT-ROOT TESTS; INVESTOR SENTIMENT; TEXTUAL ANALYSIS; SHORT-SALES; PANEL-DATA; BEHAVIOR; RETURNS;
D O I
10.1016/j.intfin.2023.101806
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
This study empirically examines whether the stock price crash risk of euro area banks is affected by crisis sentiment during the period 2004-2020. We introduce a diverse set of crisis sentiment aspects, including communication and investors' focus of attention to market wide sentiment. We employ quarter-bank level data and various measures for stock price crash risk and crisis sentiment, including text and Google-search based to market-based proxies. Our results reveal a positive and significant relationship between crisis sentiment and stock price crash risk, implying that higher crisis sentiment leads to a higher future stock price crash risk for the euro area banks. These findings highlight the importance of crisis sentiment as the "transmission mechanism" of stock price crash risk and have important policy implications for central bankers and regulators.
引用
收藏
页数:23
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