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The relationship between stock market development, business cycle and risk of banks

机译:股票市场发展,商业周期与银行风险之间的关系

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The purpose of this research is to investigate the relationship between stock market development, business cycle and risk of the banks. The statistical population of the study is all banks whose shares were accepted in Tehran Stock Exchange from 2010 to 2015. The study selects 10 banks, which were active throughout the entire research period on the stock market. The research data were extracted from the financial statements of the companies and analyzed using regression models based on panel data. The research findings show that there was a direct and significant relationship between stock market development and risk of banks. In addition, the effect of stock market development on risk of banks was different in the presence or absence of a crisis, and the financial crisis in banks reduced the impact of the financial development on the risk of banks. The results also show that during the periods of commercial boom, the effect of the financial market development on the risk of banks was more than the periods of the recession.
机译:本研究的目的是研究股市发展,商业周期与银行风险之间的关系。该研究的统计人口是2010年至2015年在德黑兰证券交易所接受其股票的所有银行。该研究选择了10家在整个股市研究期间都活跃的银行。研究数据从公司的财务报表中提取,并使用基于面板数据的回归模型进行分析。研究结果表明,股市发展与银行风险之间存在直接而显着的关系。此外,在存在或不存在危机的情况下,股票市场发展对银行风险的影响是不同的,并且银行的金融危机减少了金融发展对银行风险的影响。结果还表明,在商业繁荣时期,金融市场发展对银行风险的影响要大于衰退时期。

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