Capital regulation and bank risk-taking - new global evidence

被引:13
|
作者
Dias, Roshanthi [1 ]
机构
[1] Swinburne Univ Technol, Swinburne Business Sch, Dept Accounting Econ & Finance, Hawthorn, Vic, Australia
来源
ACCOUNTING AND FINANCE | 2021年 / 61卷 / 01期
关键词
Bank risk-taking; Capital regulations; Commercial banks; Tier; 1; capital; INSTITUTIONS; PERFORMANCE; COMPETITION; INCENTIVES; STABILITY;
D O I
10.1111/acfi.12595
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
This study investigates the link between capital regulation and bank risk-taking. Using a sample of over 1,800 banks in 135 countries, I find that the relationship between capital regulation and bank risk-taking (measured by z-score) is an inverse 'U' shape. That is, as capital ratios increase, a bank will take less risk initially, then more risk. These results are robust to numerous additional tests, including estimation methods. I also find that more stringent regulations mitigate the effect of higher capital on lowering bank risk-taking. Increased capital requirements, even when risk-based, induce risk-taking at higher levels, irrespective of whether banks are well- or under-capitalised.
引用
收藏
页码:847 / 884
页数:38
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