The Impact of financial risks on commercial banks’ financial stability: empirical evidence from MENA countries

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Date
2022-12-02
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Publisher
University of Larbi Ben M'hidi Oum EL Bouaghi
Abstract
This paper examines the impact of financial risks on commercial Banks’ financial stability, using a sample of 140 commercial banks listed in the stock markets operating in the MENA countries, and balanced annual data extending from 2011 to 2020. We applied a panel-corrected standard error (PCSE) estimator. The results show that there is a significant negative impact of the operational risk, liquidity risk, and credit risk on commercial banks’ financial stability, while the interest rate risk has a significant positive impact on commercial banks’ financial stability.
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Keywords
Financial risks, Banking stability, Commercial banks
Citation