Banking Supervision and Risk-Adjusted Performance in the Host Country Environment

K. Janda, Oleg Kravtsov
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引用次数: 2

Abstract

We study the effect of the banking supervision in institutional settings of foreign-bank dominated financial systems of Central, Eastern and South-Eastern Europe in post-crisis period 2012-2018. For a dataset of 450 banks from 20 economies of the region, we use a mediation-moderation analysis framework to establish a relationship between regulatory scrutiny, supervisory activities and a bank risk-adjusted economic performance. We find that a higher intensity of supervision monitoring activities, especially by the centralized form of supervision, contributes to the decline of the bank's riskiness in case of larger size banks while not affecting their economic performance. The regulatory power and capital regulation stringency indicate a positive effect on the risk-adjusted performance for capital constrained banks, but moderately decrease the economic benefit for larger banks. In light of the ongoing debate on the architecture of supervision in the region, the findings highlight the potential area of attention for regulators and policymakers and thus, contribute to the designing of effective supervision mechanism.
东道国环境下银行监管与风险调整绩效
本文研究了后危机时期2012-2018年中欧、东欧和东南欧外资银行主导的金融体系在制度环境下的银行监管效果。对于来自该地区20个经济体的450家银行的数据集,我们使用中介-调节分析框架来建立监管审查、监管活动与银行风险调整后的经济绩效之间的关系。我们发现,对于规模较大的银行,更高强度的监管监测活动,特别是集中式的监管形式,有助于降低银行的风险,而不会影响其经济绩效。监管权力和资本监管严格程度对资本受限银行的风险调整绩效有正向影响,但对规模较大的银行的经济效益有适度降低。鉴于该地区正在进行的关于监管架构的辩论,研究结果突出了监管机构和政策制定者可能关注的领域,从而有助于设计有效的监管机制。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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