Investigating the effect of risk and competitiveness indicators of banks on systemic risk with the marginal expected shortfall (MES) approach using the GMM model
Subject Areas : Journal of Investment Knowledge
meysam
fadaee vahed
1
(Financial management PHD student, management and accounting faculty at allameh tabataba’i university)
mohammad Ali
Dehghan Dehnavi
2
(Assistant Professor, Financial Management, University of Allameh Tabatabai ,Address: Tehran, Dehkadeh Olympics , Allameh Tabatabaei University, faculty of management and accounting, first floor, Contact number: 00982188772697)
ali
divandari
3
(Full professor, faculty of management at university of Tehran)
meysam
amiry
4
(Associate professor, management and accounting faculty at allameh tabataba’i university)
Keywords: systemic risk, Herfindahl-Hirschman index, Inflation, Economic growth rate, credit risk,
Abstract :
Systemic risk has been considered as one of the new concepts in the field of finance since 2008 and this risk is more considered in the banking industry due to the close relationship between banks in their daily operations. Therefore, identifying the factors affecting this risk in the banking industry is the main purpose of this study. In this study, the relationship between macroeconomic indicators (interest rate, economic growth rate and inflation), risk (liquidity and default risk) and competitiveness (Herfindahl-Hirschman index and asset size) using banks' data from 2009 to date and with The GMM data panel method was tested.The results of modeling show that there is a significant and direct relationship between default risk index (credit) and systemic risk of the banking industry. Also, in all competition indicators, including Herfindahl-Hirschman index and the size of banks, there is a direct relationship, and in macroeconomic indicators, the relationship between interest rates and inflation with the systemic risk of banks is direct and significant.
* احمدی زانیار. فرهانیان سید محمدجواد. اندازهگیری ریسک فراگیر با رویکرد CoVaR و MES در بورس اوراق بهادار تهران. بورس اوراق بهادار. سال هفتم. تابستان 139. شماره 26
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