全球化、监管与银行盈利能力:欧洲、美国、印度和中国的比较分析

IF 0.4 Q4 EDUCATION & EDUCATIONAL RESEARCH
E. Paulet, H. Mavoori
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引用次数: 2

摘要

上一次金融危机促使监管机构强调加强金融机构的稳定指标。因此,银行在制定战略决策和盈利能力时必须考虑到这一新的因素。本文的目的是在全球范围内比较不同的监管和治理制度,为银行活动的转变提供证据。利用来自4个地理区域(美国、欧洲、中国、印度)的102家银行的样本,我们提出了集合模型和区域模型,以突出解释银行盈利能力和风险管理的参数。利用2000-2016年的月度数据,我们的实证分析强调了盈利能力的地区差异,这影响了银行机构的全球稳定性。我们发现,不断增加的市值往往会导致预期的业绩增长;然而,对其影响的区域分析揭示了更细微的地理空间变化和风险管理目的的见解。特别是,在政府对银行机构绩效的影响方面,中国构成了一个有趣的案例研究,这种影响通过对比不同程度政府控制的私营和公共部门银行的模型得到了交叉验证。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Globalization, regulation and profitability of banks: a comparative analysis of Europe, United States, India and China
The last financial crisis spurred regulators to emphasize enhanced stability indicators for financial institutions. Therefore, banks have to take into account this new element while defining their strategic decisions and their profitability. The aim of this paper is to provide evidence of the transformation of banking activities on a global scale comparing different regulatory and governance regimes. Using a sample of 102 banks from 4 geographic regions (United States, Europe, China, India) we propose pooled and regional models to highlight the parameters that explain profitability and risk management of banks. Leveraging 2000-2016 monthly data, our empirical analysis underlines the regional differences in profitability, which influence global stability of banking institutions. We find that increasing market capitalization often induces increased performance as expected; however a regional analysis of its impact reveals more nuanced geospatial variations and insights for risk management purposes. In particular, China constitutes an interesting case study as regards the impact of government on the performance of banking institutions, with this effect being cross validated by models contrasting private and public sector banks with different levels of government controls.
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来源期刊
European Journal of Comparative Economics
European Journal of Comparative Economics EDUCATION & EDUCATIONAL RESEARCH-
CiteScore
1.90
自引率
0.00%
发文量
0
审稿时长
52 weeks
期刊介绍: Several years have elapsed since the beginning of transition in Eastern Europe, and the profession has learnt a lot about the importance of institutions in the economy and our deep need for additional research on their influence on the interaction of the units that play the economic game. The study of economies that do not fit the paradigm of the competitive market, a field of enquiry that used to belong to the sideline of scientific enquiry, has been joined by leading scientists in the field, who were inspired by the new knowledge gained through the processes of transition and intrigued bthe policy problems posed by transformation of bureaucratically run socialist economies into capitalist market economies. The same institutional and social understanding is equally relevant to questions of conomic development, to the elimination of cleavages between North and South, and to the solution of problems of globalization.
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