从全球金融危机到 COVID-19 大流行的海湾合作委员会银行尾部风险关联性事件

IF 2.9 3区 经济学 Q1 ECONOMICS Quarterly Review of Economics and Finance Pub Date : 2024-06-02 DOI:10.1016/j.qref.2024.101869
Aktham Maghyereh , Hussein Abdoh
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摘要

本文旨在分析 COVID-19 大流行对海湾合作委员会国家基于市场的系统性风险和商业银行关联性的影响。结果表明,通过使用两个非常著名的系统性风险度量,即德尔塔条件风险价值(ΔCoVaR)和边际预期缺口(MES),系统性风险在大流行后显著增加,但在海湾合作委员会国家之间存在异质性。利用格兰杰-因果关系网络法,结果显示在大流行病期间,科威特和沙特的银行间重大关联的百分比和数量显著上升。阿曼和卡塔尔的银行回报关联度增长不明显。此外,该研究还确定了能够抵御大流行病系统性冲击的银行特征。研究结果表明,收入多样化是在大流行病期间增强银行稳定性的最关键变量。我们的研究结果为理解和减轻风险冲击的传播以及遏制系统性金融风险提供了政策方面的启示,同时也为今后的研究提供了多种思路。
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Tail risk connectedness among GCC banks episodes from the Global Financial Crisis to COVID-19 pandemic

This paper aims to analyze the impact of the COVID-19 pandemic on market-based systemic risk and the connectedness of commercial banks in Gulf Cooperation Council countries. The results suggest that systemic risk has increased significantly after the pandemic by employing two very well-known systemic risk measures, the Delta conditional value-at-risk (ΔCoVaR) and the marginal expected shortfall (MES), but heterogeneously across GCC nations. Using the Granger-Causality network method, the results reveal a remarkable rise in the percentage and number of significant connectedness between banks for Kuwait and KSA during the pandemic. Oman and Qatar experienced an unnoticeable increase in bank return connectedness. Furthermore, the study identifies the bank characteristics that provide shelter from the systemic shocks of the pandemic. The study findings indicate that income diversification is the most crucial variable for enhancing bank stability amid the pandemic. Our findings provide policy-related implications for understanding and mitigating risk shock transmission and the containment of systemic financial risk, in addition to multiple future lines of research.

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来源期刊
CiteScore
6.00
自引率
2.90%
发文量
118
期刊介绍: The Quarterly Review of Economics and Finance (QREF) attracts and publishes high quality manuscripts that cover topics in the areas of economics, financial economics and finance. The subject matter may be theoretical, empirical or policy related. Emphasis is placed on quality, originality, clear arguments, persuasive evidence, intelligent analysis and clear writing. At least one Special Issue is published per year. These issues have guest editors, are devoted to a single theme and the papers have well known authors. In addition we pride ourselves in being able to provide three to four article "Focus" sections in most of our issues.
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