Explaining bank distress in Eastern European transition economies
This paper considers the joint role of macroeconomic, structural and bank-specific factors in explaining the occurrence of banking problems in the nineteen Eastern European transition countries over the last decade. With data at the individual bank level we show, using a discrete time survival model, that all three factors interact in their impact and have a rich dynamic profile, which underlines the highly volatile cycles challenging the stability of banks in this region. A fragile funding basis accompanied by high exposure to market risk in an environment of reforms and macroeconomic disturbances is the typical precursor of bank distress.
Year of publication: |
2009
|
---|---|
Authors: | Männasoo, Kadri ; Mayes, David G. |
Published in: |
Journal of Banking & Finance. - Elsevier, ISSN 0378-4266. - Vol. 33.2009, 2, p. 244-253
|
Publisher: |
Elsevier |
Subject: | Banks Distress Transition Survival |
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