Banks' Risk Endogenous to Strategic Management Choices

被引:10
|
作者
Delis, Manthos D. [1 ]
Hasan, Iftekhar [2 ,3 ,4 ]
Tsionas, Efthymios G. [5 ]
机构
[1] Univ Surrey, Surrey Business Sch, Dept Finance & Accounting, Guildford GU2 7XH, Surrey, England
[2] Fordham Univ, Sch Business, New York, NY 10019 USA
[3] Bank Finland, New York, NY 10019 USA
[4] Bank Finland, Helsinki 00101, Finland
[5] Univ Lancaster, Sch Management, Lancaster LA1 4YX, England
关键词
RETURN; PORTFOLIO; POLICY;
D O I
10.1111/1467-8551.12111
中图分类号
F [经济];
学科分类号
02 ;
摘要
Use of variability of profits and other accounting-based ratios in order to estimate a firm's risk of insolvency is a well-established concept in management and economics. We argue that these measures fail to approximate the true level of risk accurately because managers consider other strategic choices and goals when making risky decisions. Instead, we propose an econometric model that incorporates current and past strategic choices to estimate risk from the profit function. Specifically, we extend the well-established multiplicative error model to allow for the endogeneity of the uncertainty component. We demonstrate the power of the model using a large sample of US banks and show that our estimates predict the accelerated bank risk that led to the subprime crisis in 2007. Our measure of risk also predicts the probability of bank default both in the period of the default but also well in advance of this default and before conventional measures of bank risk.
引用
收藏
页码:637 / 656
页数:20
相关论文
共 50 条
  • [21] STRATEGIC CHOICES
    BRAMS, SJ
    SCIENCE, 1984, 226 (4676) : 782 - 782
  • [22] STRATEGIC CHOICES
    ZELLMER, WA
    AMERICAN JOURNAL OF HOSPITAL PHARMACY, 1992, 49 (02): : 319 - 319
  • [23] Risk-Taking and Risk Management by Banks
    Stulz, Rene M.
    JOURNAL OF APPLIED CORPORATE FINANCE, 2022, 34 (01) : 95 - 105
  • [24] Risk-Taking and Risk Management by Banks
    Stulz, Rene M.
    JOURNAL OF APPLIED CORPORATE FINANCE, 2015, 27 (01) : 8 - 18
  • [25] STRATEGIC REFERENCE POINTS, RISK AND STRATEGIC CHOICES IN SMALL AND MEDIUM-SIZED ENTERPRISES
    Maria Garcia-Perez, Ana
    Yanes-Estevez, Vanessa
    Oreja-Rodriguez, Juan Ramon
    JOURNAL OF BUSINESS ECONOMICS AND MANAGEMENT, 2014, 15 (03) : 562 - 576
  • [26] RISK MANAGEMENT IN ISLAMIC BANKS: A RESEARCH ON THE PARTICIPATION BANKS IN TURKEY
    Parlakkaya, Raif
    Cetin, Hiiseyin
    Demirci, M. Nihat
    JOURNAL OF MEHMET AKIF ERSOY UNIVERSITY ECONOMICS AND ADMINISTRATIVE SCIENCES FACULTY, 2022, 9 (01): : 608 - 636
  • [27] Impact of Foreign Strategic Investors on Earnings Management in Chinese Banks
    Wu, Meng-Wen
    Shen, Chung-Hua
    Lu, Chin-Hwa
    Chan, Chia-Chung
    EMERGING MARKETS FINANCE AND TRADE, 2012, 48 (05) : 115 - 133
  • [28] Strategy choices in strategic risk-taking: Does climate risk matter?
    Li, Wanli
    Luo, Dan
    Cheng, Teng-Yuan
    INTERNATIONAL REVIEW OF FINANCIAL ANALYSIS, 2025, 97
  • [29] Credit Risk Management for Indian Banks
    Dwivedi, Amit Kumar
    JOURNAL OF ENTREPRENEURSHIP, 2014, 23 (02): : 330 - 334
  • [30] THE MARKET RISK MANAGEMENT IN THE ROMANIAN BANKS
    Iuga, Iulia
    Socol, Adela
    Briciu, Sorin
    INDUSTRIAL REVOLUTIONS, FROM THE GLOBALIZATION AND POST-GLOBALIZATION PERSPECTIVE, VOL IV: BANKING, ACCOUNTING AND FINANCIAL SYSTEMS FROM THE 21ST CENTURY PERSPECTIVE, 2009, : 362 - 371