The impact of diversification on bank stability in India

被引:3
|
作者
Chandramohan, Krishnan [1 ]
Lunawat, Dipti [1 ]
Lunawat, Ajay [2 ]
机构
[1] Rajagiri Business Sch, Rajagiri Valley Campus, Kochi 682039, Kerala, India
[2] Rajagiri Coll Social Sci Autonomous, Rajagiri Valley Campus, Kochi 682039, Kerala, India
来源
COGENT BUSINESS & MANAGEMENT | 2022年 / 9卷 / 01期
关键词
Indian Banking System; Bank Stability; Diversification; Functional Diversification; Geographic Diversification; Revenue Diversification; Loan portfolio diversification; NONINTEREST INCOME; REVENUE DIVERSIFICATION; INTERNATIONAL DIVERSIFICATION; GEOGRAPHIC DIVERSIFICATION; PERFORMANCE EVIDENCE; RISK EVIDENCE; MARKET POWER; PROFITABILITY; EXPANSION;
D O I
10.1080/23311975.2022.2094590
中图分类号
F [经济];
学科分类号
02 ;
摘要
We study the concurrent impact of functional, geographic and loan portfolio diversification on the stability of commercial banks in India. The sample of 48 banks includes public sector banks, private sector banks and foreign banks operating in India. The unbalanced panel details operational and financial performance for the decade starting from 2007. We employed a dynamic Generalised Method of Moments (GMM) model to estimate the impact of diversification on bank stability. Two reasons justify the use of this approach. First, it incorporates the persistence in risk and stability, thus far neglected in diversification literature. Second, it addresses the concerns of endogeneity between diversification and stability. We find that all three dimensions of diversification, namely; functional, geographic and loan-portfolio diversification, improve bank stability. Apart from the methodological improvements, the multi-dimensional view of diversification adopted in this paper improves on the existing studies of Indian banks. Our analysis of Indian banks suggests that diversification has helped improve resilience. Our findings encourage policymakers and top management to pursue strategic functional, geographic and loan-portfolio diversification.
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页数:13
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