The Impact of Monetary Policy on Bank Risk in the Western Balkan Countries

Fatmir Gashi, Besnik Fetai
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Abstract

Abstract The objective of this research paper is to examine the impact of monetary policy conditions on bank risk-taking in the Western Balkan countries. The paper tries to identify if monetary policy conditions, especially money interest rates, may induce a greater appetite for bank risk-taking in the Western Balkan countries. The impact of macroeconomic and banking indicators on bank risk-taking will be examined, too. For this purpose, we apply pooled OLS techniques, Fixed and Random effects panel, and Hausman-Taylor Instrumental IV model. The econometric results show a negative correlation between the monetary policy rate and bank risk-taking, rejecting the hypothesis that monetary policy rates indicate bank risk increase. However, expansive credit policies or loan portfolio growth have a positive impact on bank risk-taking in the Western Balkans. The study is original, and its findings will be of value to Central Banks and other policymakers in the Western Balkan countries.
货币政策对西巴尔干国家银行风险的影响
摘要 本文旨在研究货币政策条件对西巴尔干国家银行承担风险的影响。本文试图确定货币政策条件,尤其是货币利率,是否会诱发西巴尔干国家银行承担更大风险的欲望。本文还将研究宏观经济和银行业指标对银行风险承担的影响。为此,我们采用了集合 OLS 技术、固定效应和随机效应面板以及 Hausman-Taylor Instrumental IV 模型。计量经济学结果表明,货币政策利率与银行风险承担之间存在负相关关系,否定了货币政策利率表明银行风险增加的假设。然而,在西巴尔干地区,扩张性信贷政策或贷款组合增长对银行风险承担有积极影响。本研究具有独创性,其结论对西巴尔干国家的中央银行和其他政策制定者具有参考价值。
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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