Results 1 to 10 of about 248,924 (202)
The Anatomy of Bank Diversification [PDF]
We use panel data from nine countries over the period 1996 to 2003 to test how revenue diversi-fication in conjunction with increasing bank size affects bank value. Using a comprehensive framework for bank performance measurement, we find no evidence for
Elsas, Ralf +2 more
core +6 more sources
Bank maturity, income diversification, and bank stability
The purpose of this research is to examine the influence of bank life cycle or bank maturity on income diversification (ID) and stability. In addition, this research investigates the ID relationship with bank stability.
Waqas Tariq +6 more
doaj +7 more sources
Income diversification and liquidity risk in ASEAN-5 banks: A Bayesian perspective. [PDF]
Our research employed Bayesian linear regression utilizing an adaptive Metropolis-Hastings method with Gibbs sampling to assess the influence of bank income diversification on the liquidity risk of five ASEAN banks.
Quynh Nga Duong +2 more
doaj +2 more sources
Cross-border diversification in bank asset portfolios [PDF]
Taking the mean-variance portfolio model as a benchmark, we compute the optimally diversified portfolio for banks located in France, Germany, the U.K., and the U.S. under different assumptions about currency hedging.
Buch, Claudia M. +2 more
core +10 more sources
Bank performance and Non-interest income diversification: Evidence from Chinese commercial banks. [PDF]
This paper aims to investigate the impact of non-interest income diversification on the performance of commercial banks in China. We conduct an empirical analysis using the panel data of 159 Chinese commercial banks from 2006 to 2020.
Yuan Zhao, Yixi Mei, Jun Wang
doaj +2 more sources
Revenue diversification and bank profitability: study on Indonesian banks
Bank has traditional activities that generate interest income, and non-traditional activities such as underwriting and trading securities, broker-agent, and investment banking, and other activities that generate non-interest income.
Muhammad Zaki Ashyari, Rofikoh Rokhim
doaj +4 more sources
Bank Diversification, Competition and Earnings Opacity
The paper explores the impact of bank diversification on earnings opacity. We aim at offering a comprehensive analysis by focusing on four dimensions of diversification: income, assets, funding, and loan portfolios.
Japan Huynh
doaj +3 more sources
Do the diversification of income and assets spur bank profitability in Bangladesh? A dynamic panel data analysis [PDF]
Purpose – This paper aims to explore the effects of bank diversification (i.e. diversification of income and diversification of assets) on Bangladeshi banks’ profitability.
Mohammad Jashim Uddin +3 more
doaj +1 more source
The impact of income diversification on the stability of listed Jordanian commercial banks during the COVID-19 pandemic [PDF]
This study investigates the impact of the COVID-19 pandemic on the relationship between income diversification and bank stability among Jordanian commercial banks listed on the Amman Stock Exchange (ASE), using a panel Autoregressive Distributed-Lagged ...
Abdallah Khaled Al-Habashneh +2 more
doaj +1 more source
Regulators and managers in the banking sector prioritize the banking system’s stability and safety to limit risks, shocks, and potential losses. This study reveals why a bank is more or less stable via bank capital, liquidity creation, and asset ...
Thanh Huu Vu, Trung Thanh Ngo
doaj +1 more source

