Income volatility of Indonesian banks after the Asian Financial Crisis

被引:9
|
作者
Williams, Barry [1 ]
机构
[1] Bond Univ, Sch Business, Globalisat & Dev Ctr, Southport, Qld 4229, Australia
关键词
Indonesian banking; Asian Financial Crisis; revenue volatility; PRICED DEPOSIT INSURANCE; RISK; MARKET; DIVERSIFICATION; IMPACT;
D O I
10.1080/13547860.2013.778159
中图分类号
F [经济];
学科分类号
02 ;
摘要
This paper considers the factors that determine Indonesian bank risk both before and after the Asian Financial Crisis (AFC). In the pre-AFC period, bank capital holdings are positively associated with bank revenue risk, which is attributed to a combination of regulatory laxity as well as laxity of enforcement. In the post-AFC period, capital is found to reduce bank risk in a non-linear manner. Franchise value is associated with lower bank risk, but in a non-linear manner; low levels of franchise value are associated with increased bank risk, while higher levels of franchise value result in lower bank risk. It is also concluded the low-to-medium levels of bank loan growth are associated with lower bank risk; however, high levels of loan growth are risk increasing. These results point to the importance of enforcement of regulatory oversight in reducing bank risk.
引用
收藏
页码:333 / 358
页数:26
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