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This article analyzes the relationship between the level of bank risk and equity in Indonesian commercial banks. The 3SLS technique was used in the analysis. The findings indicate the existence of negative relationship between bank risk and equity. Banks assets and the 1997 financial crisis,...
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This study investigates the impact of interest rates on bank risk-taking behavior of Indonesian commercial banks, which measures by risk-weighted assets. In addition, this study also takes into account the influence of other factors such as regulation, bank-specific and macro-economy variables....
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capital market in Indonesia from 2009 until 2017. We apply the Slovin formula and a simple random sampling method to calculate …
Persistent link: https://www.econbiz.de/10013406688
The study employs a two-step system GMM technique within a panel data framework to investigate the effects of capital buffers on the profitability and risk behavior of Indonesian commercial banks from 2010 to 2020. The findings reveal that capital buffers serve a dual role, acting as a safety...
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In this note, a new concept for a European deposit guarantee scheme is proposed, which takes account of the strong political reservations against a mutualization of the liability for bank deposits. The three-stage model for deposit insurance outlined in the text builds on existing national...
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