The Relationship between Asset Diversification and The Efficiency of Banking Sectors in EU Coutries.
Identifikátory výsledku
Kód výsledku v IS VaVaI
<a href="https://www.isvavai.cz/riv?ss=detail&h=RIV%2F70883521%3A28120%2F18%3A63519953" target="_blank" >RIV/70883521:28120/18:63519953 - isvavai.cz</a>
Výsledek na webu
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DOI - Digital Object Identifier
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Alternativní jazyky
Jazyk výsledku
angličtina
Název v původním jazyce
The Relationship between Asset Diversification and The Efficiency of Banking Sectors in EU Coutries.
Popis výsledku v původním jazyce
ABSTRACT. In the past, the pressures to investigate and evaluate the effectiveness of the bank have not been as strong as banks have been able to work in their own environment. In a period of growing competitive environment and changes in economic conditions in countries, the banking sector must adapt to economic development. Measuring the efficiency of the banking sector should help determine the performance of its units and look for ways to improve it because the efficient banking sector is capable of coping with negative shocks and contributing to the stability of the financial system. These aspects have encouraged us to carry out our research, which we present in part. The main objective of the contribution was to examine and evaluate the relationship between the diversification of banks’ assets and their effectiveness in the reference period 2008-2015, quantified by the non-parametric DEA method, in order to find out how the structure of assets impacts on the efficiency of individual banks. We used panel regression to process data. When compiling the model, we primarily looked at asset items through which the banking sectors diversified their portfolios. The results of analyses have highlighted important determinants of the efficiency of the banking sector. We quantified the impact of changes in the structure of assets of individual banks to increase their effectiveness. These findings are valuable findings for financial and economic policy makers in the country, bank system regulators, and banking institutions for which measurement and effectiveness assessment are keys to strengthening their strategic positions both nationally and internationally.
Název v anglickém jazyce
The Relationship between Asset Diversification and The Efficiency of Banking Sectors in EU Coutries.
Popis výsledku anglicky
ABSTRACT. In the past, the pressures to investigate and evaluate the effectiveness of the bank have not been as strong as banks have been able to work in their own environment. In a period of growing competitive environment and changes in economic conditions in countries, the banking sector must adapt to economic development. Measuring the efficiency of the banking sector should help determine the performance of its units and look for ways to improve it because the efficient banking sector is capable of coping with negative shocks and contributing to the stability of the financial system. These aspects have encouraged us to carry out our research, which we present in part. The main objective of the contribution was to examine and evaluate the relationship between the diversification of banks’ assets and their effectiveness in the reference period 2008-2015, quantified by the non-parametric DEA method, in order to find out how the structure of assets impacts on the efficiency of individual banks. We used panel regression to process data. When compiling the model, we primarily looked at asset items through which the banking sectors diversified their portfolios. The results of analyses have highlighted important determinants of the efficiency of the banking sector. We quantified the impact of changes in the structure of assets of individual banks to increase their effectiveness. These findings are valuable findings for financial and economic policy makers in the country, bank system regulators, and banking institutions for which measurement and effectiveness assessment are keys to strengthening their strategic positions both nationally and internationally.
Klasifikace
Druh
J<sub>imp</sub> - Článek v periodiku v databázi Web of Science
CEP obor
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OECD FORD obor
50204 - Business and management
Návaznosti výsledku
Projekt
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Návaznosti
V - Vyzkumna aktivita podporovana z jinych verejnych zdroju
Ostatní
Rok uplatnění
2018
Kód důvěrnosti údajů
S - Úplné a pravdivé údaje o projektu nepodléhají ochraně podle zvláštních právních předpisů
Údaje specifické pro druh výsledku
Název periodika
Transformations in Business & Economics
ISSN
1648-4460
e-ISSN
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Svazek periodika
17
Číslo periodika v rámci svazku
3c
Stát vydavatele periodika
LT - Litevská republika
Počet stran výsledku
17
Strana od-do
479-496
Kód UT WoS článku
000457352900013
EID výsledku v databázi Scopus
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