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Novel insights into banking risk structure: empirical evidence from nexus of financial, governance, and industrial landscape through nested tested modeling.

机译:对银行业风险结构的新洞察:通过嵌套测试建模的金融,治理和工业景观的经验证据。

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The present study brings new insights to investigate the empirical estimation of banking risk behavior through advanced mechanisms. Consistent with the need to comply with the new age of finance, this study uniquely banks its case by employing nested tested modeling through a nexus of bank-specific parameters, governance mechanism, and industry dynamics. The panel estimation based on the data set of all listed Pakistani banks from 2004 to 2018 substantiates the relative significance of customized advanced econometric models to understand the banking risk structure in an integrative methodical manner. The findings manifest exacerbation of banking risk from bank-level parameters of equity investments and advances' maturity, whereas investments driving sovereign support abbreviate bank risk parametrically. The governance mechanism mainly stipulates the efficacious role of governance structures to abbreviate banking risk. Moreover, the multifarious influence of industry dynamics of concentration and munificence abridges standalone and asset return risk, whereas accelerating total risk. Industrial dynamism also adversely affects total bank risk. The applied perspective of study offers advanced working knowledge to risk managers, policymakers, and financial institutions to comprehend the risk management framework.
机译:本研究提出了新的见解,以调查通过先进机制的银行风险行为的实证估计。符合需要遵守新的财务时代,这项研究通过使用银行特定参数,治理机制和行业动态的Nexus采用嵌套测试建模独特的银行。根据2004年至2018年的所有列出的巴基斯坦银行数据集的小组估计证实了定制先进的计量模型以综合性方法理解银行风险结构的相对重要意义。调查结果表明,股权投资的银行参数和进展的银行级别的银行风险迅速加剧,而驾驶主权支持的投资参数化缩写银行风险。治理机制主要规定了治理结构缩写银行风险的有效作用。此外,行业动态的浓度和融合的多种影响涵盖了独立和资产返回风险,而加速了总风险。工业活力也对银行总体风险产生不利影响。所应用的研究视角为风险管理人员,政策制定者和金融机构提供高级工作知识,以了解风险管理框架。

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