Bank-Specific Determinants of Financial Stability in Participation Banks: Fresh Evidence from the Driscoll-Kraay Estimator
Abstract
Keywords
Kaynakça
- Alqahtani, F., & Mayes, D. G. (2018). Financial stability of Islamic banking and the global financial crisis: Evidence from the Gulf Cooperation Council. Economic Systems, 42(2), 346-360.
- Ali, S. S., & Izhar, H. (2015). Financial stability and risk management in Islamic finance: An introduction to the issues and papers. (pp.11-16). Financial Stability and Risk Management in Islamic Financial Institutions, Vol:5, Bloomsbury Qatar Foundation Journals.
- Alihodzic, A., Eksi̇, I. H., & Dogan, B. (2020). The determinants of bank stability: Evidence from selected Balkan countries and Turkey. Romanian Statiscal Review, (1-2), 23-39.
- Altaee, H. H. A., Talo, I. M. A., & Adam, M. H. M. (2013). Testing the financial stability of banks in GCC countries: Pre and post financial crisis. International Journal of Business and Social Research (IJBSR), 3(4), 93-105.
- Amaroh, S. (2023). Measuring financial distress of Islamic banks under pandemic and its determinants: Random effect approach. IQTISHODUNA: Jurnal Ekonomi Islam, 12(1), 73-88.
- Baltagi, B. H., & Wu, P.X. (1999). Unequally spaced panel data regressions with AR (1) disturbances. Econometric Theory, 15(6), 814-823.
- Belouafi, A., Bourakba, C. A., & Saci, K. (2015). Islamic finance and financial stability: A review of the literature. Journal of King Abdulaziz University: Islamic Economics, 28(2), 3-42.
- Bhargava, A., Franzini, L., & Narendranathan, W. (1982) Serial correlation and the fixed effects model. Review of Economic Studies, 49, 533-549.
Ayrıntılar
Birincil Dil
İngilizce
Konular
Panel Veri Analizi , İslam Ekonomisi , Finans , Finansal Piyasalar ve Kurumlar , İslam Finansı
Bölüm
Araştırma Makalesi
Yazarlar
Selim Güngör
*
0000-0002-2997-1113
Türkiye
Yayımlanma Tarihi
30 Eylül 2023
Gönderilme Tarihi
26 Temmuz 2023
Kabul Tarihi
20 Eylül 2023
Yayımlandığı Sayı
Yıl 2023 Cilt: 5 Sayı: 3
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