A Cross-Country Assessment of Bank Risk-Shifting Behavior

被引:7
|
作者
Barth, James R. [1 ]
Bertus, Mark [1 ]
Hai, Jiang [2 ]
Phumiwasana, Triphon [3 ]
机构
[1] Auburn Univ, Dept Finance, 303 Lowder Business Bldg, Auburn, AL 36849 USA
[2] Jinan Univ, Dept Finance, Guangzhou 510632, Guangdong, Peoples R China
[3] Milken Inst, Santa Monica, CA 90401 USA
关键词
Banking; financial institutions; regulation and risk;
D O I
10.1142/S0219091508001234
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
Banks are important for mobilizing savings and then channeling those funds to productive investment projects. While providing these and other services that contribute to economic growth and development, banks take on various types of risks with the expectation that the return they receive will compensate for the risks. This paper presents a simple model and tests the extent to which information asymmetry between bank owners and depositors induces risk-shifting behavior that allows for higher bank net interest margins. The empirical results support the hypothesis that the greater the degree of information asymmetry the higher net interest margins base upon a sample of 3,115 banks in 98 countries.
引用
收藏
页码:1 / 34
页数:34
相关论文
共 50 条
  • [1] How Country and Safety-Net Characteristics Affect Bank Risk-Shifting
    Armen Hovakimian
    Edward J. Kane
    Luc Laeven
    [J]. Journal of Financial Services Research, 2003, 23 (3) : 177 - 204
  • [2] Risk-shifting and the regulation of bank CEOs' compensation
    Chaigneau, Pierre
    [J]. JOURNAL OF FINANCIAL STABILITY, 2013, 9 (04) : 778 - 789
  • [3] Financial openness, risk and bank efficiency: Cross-country evidence
    Luo, Yun
    Tanna, Sailesh
    De Vita, Glauco
    [J]. JOURNAL OF FINANCIAL STABILITY, 2016, 24 : 132 - 148
  • [4] Determinants of bank risk governance structure: A cross-country analysis
    Quang Khai Nguyen
    [J]. RESEARCH IN INTERNATIONAL BUSINESS AND FINANCE, 2022, 60
  • [5] Geographic loan diversification and bank risk: A cross-country analysis
    Le, Tu D. Q.
    Nguyen, Van T. H.
    Tran, Son H.
    [J]. COGENT ECONOMICS & FINANCE, 2020, 8 (01):
  • [6] Common (stock) sense about risk-shifting and bank bailouts
    Wilson L.
    Wu Y.W.
    [J]. Financial Markets and Portfolio Management, 2010, 24 (1) : 3 - 29
  • [7] Economic policy uncertainty and bank systemic risk: A cross-country analysis
    Duan, Yuejiao
    Fan, Xiaoyun
    Wang, Yu
    [J]. PACIFIC-BASIN FINANCE JOURNAL, 2022, 75
  • [8] Macroprudential policies, corporate governance and bank risk: Cross-country evidence
    Gaganis, Chrysovalantis
    Lozano-Vivas, Ana
    Papadimitri, Panagiota
    Pasiouras, Fotios
    [J]. JOURNAL OF ECONOMIC BEHAVIOR & ORGANIZATION, 2020, 169 : 126 - 142
  • [9] Monetary policy, economic uncertainty and bank risk: Cross-country evidence
    Wu, Ji
    Yan, Yuanyun
    Chen, Minghua
    Jeon, Bang Nam
    [J]. JOURNAL OF INTERNATIONAL MONEY AND FINANCE, 2022, 122