Regulation, bank capital, and bank risk: evidence from the Lebanese banking industry

被引:0
|
作者
Rim El-Khoury
机构
[1] Notre Dame University,Faculty of Business Administration and Economics
[2] Louaize,undefined
来源
关键词
Regulation; Bank capital; Risk taking; Lebanon;
D O I
暂无
中图分类号
学科分类号
摘要
This paper analyzes the relationship between change in capital and change in risk for a sample of 23 Lebanese banks between 2009 and 2014. Using the simultaneous equations model, our evidence reveals that banks determine their capital and risk levels simultaneously, with a negative relationship. While banks adjust their capital rapidly, they adjust their risk slowly. Furthermore, undercapitalized banks adjust their capital levels more rapidly than well-capitalized banks, and they increase their capital when they decrease their risk. However, there is no conclusive evidence regarding the role of regulatory pressure in driving risk-taking behavior. Finally, there are no major differences in the relationships between capital and risk regardless of whether banks are listed or not.
引用
收藏
页码:241 / 255
页数:14
相关论文
共 50 条
  • [21] Bank size, competition and risk in the Turkish banking industry
    Kasman, Adnan
    Kasman, Saadet
    [J]. EMPIRICA, 2016, 43 (03) : 607 - 631
  • [22] Bank size, competition and risk in the Turkish banking industry
    Adnan Kasman
    Saadet Kasman
    [J]. Empirica, 2016, 43 : 607 - 631
  • [23] Should bank capital regulation be risk sensitive?*
    Ahnert, Toni
    Chapman, James
    Wilkins, Carolyn
    [J]. JOURNAL OF FINANCIAL INTERMEDIATION, 2021, 46
  • [24] Capital regulation and ownership structure on bank risk
    Siddika, Aysa
    Haron, Razali
    [J]. JOURNAL OF FINANCIAL REGULATION AND COMPLIANCE, 2020, 28 (01) : 39 - 56
  • [25] Bank capital shocks and portfolio risk: Evidence from Japan
    Iwatsubo, Kentaro
    [J]. JAPAN AND THE WORLD ECONOMY, 2007, 19 (02) : 166 - 186
  • [26] Bank Capital, Efficiency and Risk: Evidence from Islamic Banks
    Isnurhadi, Isnurhadi
    Adam, Mohamad
    Sulastri, Sulastri
    Andriana, Isni
    Muizzuddin, Muizzuddin
    [J]. JOURNAL OF ASIAN FINANCE ECONOMICS AND BUSINESS, 2021, 8 (01): : 841 - 850
  • [27] Bank capital and risk in emerging banking of Jordan: a simultaneous approach
    Alrwashdeh, Nusiebeh Nahar Falah
    Noreen, Umara
    Danish, Muhammad Hassan
    Ahmed, Rizwan
    [J]. COGENT ECONOMICS & FINANCE, 2024, 12 (01):
  • [28] Shadow banking, financial regulation, and bank risk in China
    Dong, Yan
    Dong, Mengyao
    Tan, Suhang
    Ge, Ran
    [J]. FINANCE RESEARCH LETTERS, 2024, 63
  • [29] Bank Networks and Systemic Risk: Evidence from the National Banking Acts
    Anderson, Haelim
    Paddrik, Mark
    Wang, Jessie Jiaxu
    [J]. AMERICAN ECONOMIC REVIEW, 2019, 109 (09): : 3125 - 3161
  • [30] The joint regulation of bank liquidity and bank capital
    DeYoung, Robert
    Distinguin, Isabelle
    Tarazi, Amine
    [J]. JOURNAL OF FINANCIAL INTERMEDIATION, 2018, 34 : 32 - 46