Globalization and Banking Risk: An Empirical Analysis with Panel Data for Europe and the United States (1999–2007)
9 Pages Posted: 7 Nov 2011
Date Written: November 7, 2011
Abstract
In the present paper an attempt will be made to show econometrically with panel data that as globalization increases, banking risk goes also up but not by as much. Panel data are elaborated by means of Eviews software package. The sample covers during 1999–2007 Western Europe and the United States.
Keywords: globalization, banking risk, econometric models with panel data (single equation), corporate management, market research, regulations, entrepreneurship
JEL Classification: F1, G2, G3, C23, M1, M2, M3, L5, L26
Suggested Citation: Suggested Citation
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