دانلود مقاله ISI انگلیسی شماره 46009
ترجمه فارسی عنوان مقاله

توسعه بازارهای مالی و ریسک بانک: تجربه از تایلند در طول 1990-2012

عنوان انگلیسی
Financial markets development and bank risk: Experience from Thailand during 1990–2012
کد مقاله سال انتشار تعداد صفحات مقاله انگلیسی
46009 2014 22 صفحه PDF
منبع

Publisher : Elsevier - Science Direct (الزویر - ساینس دایرکت)

Journal : Journal of Multinational Financial Management, Volume 27, October 2014, Pages 67–88

ترجمه کلمات کلیدی
سرمایه بانک - خطر بانک - بازارهای مالی توسعه - بحران های مالی - تایلند
کلمات کلیدی انگلیسی
G15; G21; G32; O16Bank capitalization; Bank risk; Financial markets development; Financial crises; Thailand
پیش نمایش مقاله
پیش نمایش مقاله  توسعه بازارهای مالی و ریسک بانک: تجربه از تایلند در طول 1990-2012

چکیده انگلیسی

The relation between financial markets development and bank risk in Thailand during 1990–2012 is examined. After controlling for macro-level and firm-level variables, stock market development is positively associated with banks’ capitalization ratio, and is negatively related to their beta. While banking sector development has no effect on the banks’ capitalization ratio, it has a positive effect on their beta. In addition, banking sector development is negatively related to the banks’ capitalization ratio when measured as the Tier 1 capital to total risk-weighted assets ratio during 2000–2012. Overall, two dimensions of financial markets development seem to have opposing effects on bank risk. While stock market development tends to lower the banks’ beta, banking sector development induces the instability of the banking system by lowering the banks’ capitalization ratio and by increasing the banks’ beta.