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Geopolitical risk and bank stability

delete2022-05-01
delete72
PRE
AI
D
Dinh Hoang Bach Phan *
V
Vuong Thao Tran
B
Bernard Njindan Iyke
DOI:10.1016/j.frl.2021.102453delete
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Abstract

Abstract

En 中文
In this paper, we present evidence supporting our hypothesis that geopolitical risk hurts bank stability. Using annual bank stability, bank-specific, macroeconomic, and geopolitical risk data-sets, we show that an increase in geopolitical risk is associated with a decline in bank stability. This finding is robust to different geopolitical risk and bank stability measures, removing the period of extreme financial events, excluding banks with less than ten years of data, potential endogeneity issues, and controlling for other risk factors. Our results also emphasize the role of holding capital and bank size in attenuating the destabilizing effect of geopolitical risk.
Keywords:
Geopolitical risk
Perceived geopolitical risk
Realized geopolitical risk
Bank stability
Bank characteristics

Journal

Finance Research Letters cover
Finance Research Letters
IF:
6.9
Papers:
8.9K
Citations:
2.8W

Organization

M
Monash University
Scholars:
5.4W
Papers: 5.4W
Citations: 79
L
La Trobe University
Scholars:
1.1W
Papers: 1.1W
Citations: 1.5W
Cited Papers

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