Bank Solvency Determinants: An Empirical Analysis (1999–2007)

5 Pages Posted: 26 Mar 2011

Date Written: March 21, 2011

Abstract

In the present paper through an empirical analysis author will estimate some important determinant factors of banking solvency apart from the risk. Our sample refers to the western economies including the United States. The econometric analysis based on a single equation model uses OECD panel data and the estimation is made feasible through the Eviews software Package.

Keywords: Econometric models with panel data (single equation), Banking, Risk, Solvency

JEL Classification: C23, E5, G32

Suggested Citation

Georgiou, Miltiades N., Bank Solvency Determinants: An Empirical Analysis (1999–2007) (March 21, 2011). Available at SSRN: https://ssrn.com/abstract=1791643 or http://dx.doi.org/10.2139/ssrn.1791643

Do you have negative results from your research you’d like to share?

Paper statistics

Downloads
212
Abstract Views
871
Rank
260,572
PlumX Metrics