The EU Debt Crisis: A Reflection On Financial Sector Of The Western Balkans

Volume: 2 Number: 1 March 1, 2013
  • Mehmed Ganić
EN

The EU Debt Crisis: A Reflection On Financial Sector Of The Western Balkans

Abstract

The main objective of this article is to analyze the certain financial variables in order to have asses transmission effects of the EU debt crises on stability and efficiency of financial sector of Western Balkan (WB). Also, this study uses a cross-country comparison methodology and examines the following aspects: Capital adequacy, liquidity position and efficiency of the banking sector of the WB in pre crisis and crisis period as well as financial sector size, structure, and trends in financial developments for the WB region in pre crisis and crisis period. The paper is divided into six sections. Section 2 deals with the literature review. Section 3 contains an explanation of the data and methodology. Section 4 analyze trends in financial developments for the WB region. Section 5 gives an overview of the implications ofEU debt crises for WB financial system while the focus of the section 6 is on an analysis of changes in perceptions by European bank subsidiaries in WB countries in context of the European debt crisis. The findings and discussion presented in previous sections of this article ends with conclusions that impact of EU debt crises has been transmitted on the position banking sector of WB through several sources, especially through: decline in profitability, credit growth has dropped significantly and asset quality has deteriorated markedly.

Keywords

References

  1. Bank of Albania, (2006-2011). Financial Stability Report,Annual Report.
  2. BIS, (2003). Guide to the international banking statistics. Bank for International Settlements, BIS Paper, (16)-April.
  3. Backe, P., Egert B. and Zumer, T. (2006). Credit Growth in Central and Eastern Europe: New (Over) Shooting Stars? Oesterreichische Nationalbank, Focus on European Economic Integration, (1):112–139.
  4. Brown, M., S. Ongena and P. Yesin. (2009). Foreign currency borrowing by small firms. Center Discussion Paper No. 2008-16.
  5. Brana, S. and Lahet, D. (2011). Foreign banks and the stability of foreign and domestic credit in CEECs, LAREFI Working Paper CR11-EFI/07, Université Montesquieu-Bordeaux, 2011.
  6. Central Bank of Bosnia and Herzegovina, (2006-2011). Financial Stability Report,Annual Report. Central Bank of Montenegro, (2006-2011). Financial Stability Report,Annual Report.
  7. Cetorelli N. and Goldberg L. S. (2009). Global Banks and International Shock Transmission: Evidence from The Crisis, Federal Reserve Bank of New York.
  8. Claudio, B. (2003). Towards a macroprudential framework for financial supervision and regulation? BIS Working Papers No 128.

Details

Primary Language

English

Subjects

-

Journal Section

-

Authors

Mehmed Ganić This is me

Publication Date

March 1, 2013

Submission Date

November 4, 2014

Acceptance Date

-

Published in Issue

Year 2013 Volume: 2 Number: 1

APA
Ganić, M. (2013). The EU Debt Crisis: A Reflection On Financial Sector Of The Western Balkans. Journal of Business Economics and Finance, 2(1), 51-64. https://izlik.org/JA37WH52PB
AMA
1.Ganić M. The EU Debt Crisis: A Reflection On Financial Sector Of The Western Balkans. JBEF. 2013;2(1):51-64. https://izlik.org/JA37WH52PB
Chicago
Ganić, Mehmed. 2013. “The EU Debt Crisis: A Reflection On Financial Sector Of The Western Balkans”. Journal of Business Economics and Finance 2 (1): 51-64. https://izlik.org/JA37WH52PB.
EndNote
Ganić M (March 1, 2013) The EU Debt Crisis: A Reflection On Financial Sector Of The Western Balkans. Journal of Business Economics and Finance 2 1 51–64.
IEEE
[1]M. Ganić, “The EU Debt Crisis: A Reflection On Financial Sector Of The Western Balkans”, JBEF, vol. 2, no. 1, pp. 51–64, Mar. 2013, [Online]. Available: https://izlik.org/JA37WH52PB
ISNAD
Ganić, Mehmed. “The EU Debt Crisis: A Reflection On Financial Sector Of The Western Balkans”. Journal of Business Economics and Finance 2/1 (March 1, 2013): 51-64. https://izlik.org/JA37WH52PB.
JAMA
1.Ganić M. The EU Debt Crisis: A Reflection On Financial Sector Of The Western Balkans. JBEF. 2013;2:51–64.
MLA
Ganić, Mehmed. “The EU Debt Crisis: A Reflection On Financial Sector Of The Western Balkans”. Journal of Business Economics and Finance, vol. 2, no. 1, Mar. 2013, pp. 51-64, https://izlik.org/JA37WH52PB.
Vancouver
1.Mehmed Ganić. The EU Debt Crisis: A Reflection On Financial Sector Of The Western Balkans. JBEF [Internet]. 2013 Mar. 1;2(1):51-64. Available from: https://izlik.org/JA37WH52PB

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