Has the Effect of Asset Securitization on Bank Risk Taking Behavior Changed?

被引:17
|
作者
Huong Thi Thu Le [1 ]
Narayanan, Rajesh P. [1 ]
Lai Van Vo [2 ,3 ]
机构
[1] Louisiana State Univ, Baton Rouge, LA 70803 USA
[2] Western Connecticut State Univ, Danbury, CT USA
[3] Ton Duc Thang Univ, Ho Chi Minh, Vietnam
关键词
Bank holding companies; Securitization; Bank risk taking; Loan loss; MORTGAGE; RECOURSE; SALES;
D O I
10.1007/s10693-015-0214-1
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
In this paper, we examine whether the relation between securitization and bank risk changes after the financial crisis of 2007 to 2009. Using different measures of risk, we find that prior to 2007, securitization increases bank risk. We find no evidence that securitization increases bank risk after 2009. Our findings are robust to different characterizations of securitization, the time periods used to measure the changes in bank risk, as well as to different estimation approaches. Our findings suggest that the economic losses that the banks suffered during the financial crisis and the new rules put in place in its aftermath have diminished the incentives for banks to engage in risk taking via securitization.
引用
收藏
页码:39 / 64
页数:26
相关论文
共 50 条
  • [1] Has the Effect of Asset Securitization on Bank Risk Taking Behavior Changed?
    Huong Thi Thu Le
    Rajesh P. Narayanan
    Lai Van Vo
    [J]. Journal of Financial Services Research, 2016, 49 : 39 - 64
  • [2] Bank Audit Fees and Asset Securitization Risks
    Cullen, Grant
    Gasbarro, Dominic
    Monroe, Gary S.
    Shailer, Greg
    Zhang, Yuyu
    [J]. AUDITING-A JOURNAL OF PRACTICE & THEORY, 2018, 37 (01): : 21 - 48
  • [3] Bank management expertise and asset securitization policies
    Chen, Tsung-Kang
    Liao, Hsien-Hsing
    Ye, Jing-Syuan
    [J]. JOURNAL OF BANKING & FINANCE, 2019, 109
  • [4] Asset securitization and bank stock price performance: Bubble increase or risk transfer
    Liu, Qinghan
    Li, Rumiao
    Ahmad, Mahmood
    Ren, Zongqiang
    [J]. BORSA ISTANBUL REVIEW, 2023, 23 (06) : 1474 - 1486
  • [5] New insights into bank asset securitization: The impact of religiosity
    Abdelsalam, Omneya
    Elnahass, Marwa
    Batten, Jonathan A.
    Mollah, Sabur
    [J]. JOURNAL OF FINANCIAL STABILITY, 2021, 54
  • [6] Risk and Prevention of Credit Asset Securitization
    Gong Yuxia
    Zhang Xin
    [J]. PROCEEDINGS OF THE 2017 2ND INTERNATIONAL CONFERENCE ON MODERN MANAGEMENT, EDUCATION TECHNOLOGY, AND SOCIAL SCIENCE (MMETSS 2017), 2017, 146 : 100 - 104
  • [7] Research on credit risk of bank credit asset securitization - An Empirical Analysis Based on KMV model
    Han, Di
    [J]. 2018 15TH INTERNATIONAL CONFERENCE ON SERVICE SYSTEMS AND SERVICE MANAGEMENT (ICSSSM), 2018,
  • [8] The impact of bank opacity on bank risk-taking behavior
    Tran, Dung Viet
    Hassan, M. Kabir
    Houston, Reza
    Rabbani, Mustafa Raza
    [J]. JOURNAL OF CORPORATE ACCOUNTING AND FINANCE, 2022, 33 (03): : 88 - 101
  • [9] Effect of Ownership Structure on Bank Diversification and Risk-Taking Behavior in Bangladesh
    Moudud-Ul-Huq, Syed
    Biswas, Tanmay
    Chakraborty, Brishti
    Al Amin, Md
    [J]. JOURNAL OF ASIAN FINANCE ECONOMICS AND BUSINESS, 2020, 7 (11): : 647 - 656
  • [10] Bank asset structure, real-estate lending, and risk-taking
    Blasko, Matej
    Sinkey, Joseph F., Jr.
    [J]. QUARTERLY REVIEW OF ECONOMICS AND FINANCE, 2006, 46 (01): : 53 - 81