The behavior of the post-crises Indonesian banking industry (an analysis based on oligopoly theory and dynamic panel data econometrics)
Year of publication: |
2010
|
---|---|
Authors: | Ariefianto, Mochammad Doddy |
Published in: |
Economics and finance in Indonesia : EFI. - Jakarta : [Verlag nicht ermittelbar], ISSN 0126-155X, ZDB-ID 860173-2. - Vol. 58.2010, 3, p. 269-284
|
Subject: | Finanzkrise | Financial crisis | Bankgeschäft | Banking services | Marktführer | Market leader | Oligopol | Oligopoly | Panel | Panel study | Schätzung | Estimation | Indonesien | Indonesia | 2002-2008 |
-
Globalization and bank efficiency nexus : Symbiosis or parasites?
Fadzlan Sufian, (2012)
-
How the euro-area sovereign-debt crisis led to a collapse in bank equity prices
Gibson, Heather D., (2016)
-
Green versus non-green banks : a differences-in-differences CAMEL-based approach
Malandrakis, Ioannis, (2023)
- More ...
-
Alm behavior of banks : deposit pricing positioning, managerial risk appetite, and money market
Ariefianto, Mochammad Doddy, (2015)
-
Deposit structure, market discipline, and ownership type : evidence from Indonesia
Trinugroho, Irwan, (2020)
-
Reexamine performance of foreign banks in Indonesia
Trinugroho, Irwan, (2018)
- More ...