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Pengaruh Diversifikasi Pendapatan dan Struktur Pasar terhadap Stabilitas Bank di Negara Berkembang Asia Periode 2012-2019
This paper aims to examine the impact of income diversification and market structure on bank stability in Asian emerging countries, which include China, India, Indonesia, South Korea, Malaysia, Pakistan, Philippines, Taiwan, and Thailand. This study utilized panel data, using sample of 80 banks originated from 9 countries and from 2012-2019. The results suggest that increased income diversification activities has a positive impact on bank?s stability. Moreover, this study also found evidence that market power is associated with better bank stability, consistent with the ?concentration-stability? or ?competition-fragility? view. Furthermore, this study also explored different impact of income diversification on bank stability based on certain market structure. Using a different dataset from previous research that examined developed country, this study has found different evidence, showing that the interaction term of income diversification and market structure has a negative impact on bank stability, indicating that diversification activities carried out by banks that have market power can lead to bank fragility. This research findings can be used as consideration in determining strategies for maintaining financial stability for banks, policies and regulations settlement regarding banking stability for authorities involved and contributing to literature on related topics.Ada Tabel
Call Number | Location | Available |
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12927 | PSB lt.2 - Karya Akhir | 1 |
Penerbit | Depok Program Studi Manajemen Fakultas Ekonomi dan Bisnis Universitas Indonesia., 2021 |
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Edisi | - |
Subjek | Banking Financial stability Market structure Income diversification |
ISBN/ISSN | - |
Klasifikasi | - |
Deskripsi Fisik | xiii, 80 p. ; diagr. ; 30 cm |
Info Detail Spesifik | - |
Other Version/Related | Tidak tersedia versi lain |
Lampiran Berkas | Tidak Ada Data |