Modelling banking sector stability with multicriteria approaches

被引:7
|
作者
Gaganis, Chrysovalantis [1 ,2 ]
Pasiouras, Fotios [1 ,3 ]
Doumpos, Michael [1 ]
Zopounidis, Constantin [1 ]
机构
[1] Tech Univ Crete, Dept Prod Engn & Management, Financial Engn Lab, Khania 73100, Greece
[2] Univ Crete, Dept Econ, Iraklion, Greece
[3] Univ Bath, Sch Management, Ctr Governance & Regulat, Bath BA2 7AY, Avon, England
关键词
Banking; Multicriteria decision aid; Risk; Stability; DETERMINANTS; CRISES;
D O I
10.1007/s11590-010-0182-1
中图分类号
C93 [管理学]; O22 [运筹学];
学科分类号
070105 ; 12 ; 1201 ; 1202 ; 120202 ;
摘要
Banking crises can be damaging for the economy, and as the recent experience has shown, nowadays they can spread rapidly across the globe with contagious effects. Therefore, the assessment of the stability of a county's banking sector is important for regulators, depositors, investors and the general public. In the present study, we propose the development of classification models that assign the banking sectors of various countries in three classes, labelled "low stability", "medium stability", and "high stability". The models are developed using three multicriteria decision aid techniques, which are well-suited to ordinal classification problems. We use a sample of 114 banking sectors (i.e., countries), and a set of criteria that includes indicators of the macroeconomic, institutional and regulatory environment, as well as basic characteristics of the banking and financial sector. The models are developed and tested using a tenfold cross-validation approach and they are benchmarked against models developed with discriminant analysis and logistic regression.
引用
收藏
页码:543 / 558
页数:16
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