Banking Market Size Structure and Financial Stability: Evidence from Eight Asian Countries

被引:15
|
作者
Kim, Hakkon [1 ]
Park, Kwangwoo [2 ]
Song, Sangjin [3 ]
机构
[1] Southwest Jiaotong Univ, Sch Econ & Management, Dept Finance, Chengdu, Peoples R China
[2] Korea Adv Inst Sci & Technol, Grad Sch Finance, Seoul, South Korea
[3] Bank Korea, Monetary Policy Comm Secretariat, Seoul, South Korea
关键词
Asian countries; banking market; financial stability; large bank; size structure; CONSOLIDATION; RISK; INDUSTRY; DIVERSIFICATION; RETURNS; MERGERS; STOCK;
D O I
10.1080/1540496X.2015.1025653
中图分类号
F [经济];
学科分类号
02 ;
摘要
Using commercial bank data from eight major Asian countries, we examine the relationship between the banking market size structure and the stability of financial institutions. We also analyze the effect of bank upsizing on the financial stability. Our results show that a rise in large banks' market power, accompanying an increase in their market shares, lowers the capital adequacy of small banks. Small banks' nonperforming loans and the possibility of their bankruptcy also increase as large banks' market shares rise. We further show that larger banks tend to have lower capital adequacy ratios, liquidity ratios, and distance-to-default ratios. Our study suggests that large banks' greater market shares are associated with small banks' financial instability. Overall, these findings are consistent with the notion of the recent banking literature that has important antitrust policy implications.
引用
收藏
页码:975 / 990
页数:16
相关论文
共 50 条
  • [31] Market Structure, Financial Dependence and Industrial Growth: Evidence from the Banking Industry in Emerging Asian Economies (vol 11, e0160452, 2016)
    Khan, Habib Hussain
    Ahmad, Rubi Binti
    Gee, Chan Sok
    PLOS ONE, 2016, 11 (09):
  • [32] The impact of sovereign rating changes and financial contagion on stock market returns: Evidence from five Asian countries
    Li, Huimin
    Jeon, Bang Nam
    Cho, Seong-Yeon
    Chiang, Thomas C.
    GLOBAL FINANCE JOURNAL, 2008, 19 (01) : 46 - 55
  • [33] Oil market shocks and financial instability in Asian countries
    Dagher, Leila
    Hasanov, Fakhri J.
    INTERNATIONAL REVIEW OF ECONOMICS & FINANCE, 2023, 84 : 182 - 195
  • [34] Market power and financial stability: Tunisian banking study
    Zidi, Manel
    Djelassi, Mouldi
    Hamdi, Helmi
    AFRICAN DEVELOPMENT REVIEW-REVUE AFRICAINE DE DEVELOPPEMENT, 2016, 28 (04): : 416 - 429
  • [35] Growth with Financial Stability: Central Banking in an Emerging Market
    Mody, Ashoka
    JOURNAL OF ECONOMIC LITERATURE, 2012, 50 (03) : 821 - 823
  • [36] Banking sector globalization and monetary policy transmission: Evidence from Asian countries
    Lee, Seungyoon
    Bowdler, Christopher
    JOURNAL OF INTERNATIONAL MONEY AND FINANCE, 2019, 93 : 101 - 116
  • [37] Efficiency and risk in commercial banking: empirical evidence from East Asian countries
    Chan, Sok Gee
    Abd Karim, Mohd Zaini
    Burton, Bruce
    Aktan, Bora
    EUROPEAN JOURNAL OF FINANCE, 2014, 20 (12): : 1114 - 1132
  • [38] The association between financial market volatility and banking market structure
    Crimmel, Jeremy
    Elyasiani, Elyas
    QUARTERLY REVIEW OF ECONOMICS AND FINANCE, 2021, 82 : 335 - 349
  • [39] Do banking system transparency and market structure affect financial stability of Chinese banks?
    Usman Bashir
    Shoaib Khan
    Abdulhafiz Jones
    Muntazir Hussain
    Economic Change and Restructuring, 2021, 54 : 1 - 41
  • [40] Market structure, institutional quality and bank stability: evidence from emerging and developing countries
    Hung Son Tran
    Thanh Dat Nguyen
    Thanh Liem Nguyen
    COMPETITIVENESS REVIEW, 2023, 33 (06) : 1046 - 1068