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An Analysis of the Determinants of Systemic Banking Crises in Southeast European Countries Cover

An Analysis of the Determinants of Systemic Banking Crises in Southeast European Countries

Open Access
|May 2018

Abstract

The purpose of this paper is to determine potential indicators of systemic banking crises in five Southeast European countries. Although signal horizon in the literature usually implies a period of 12 months before and 12 months after a crisis outbreak, models in this paper imply a 24-month pre-crisis period. Probability of a banking crisis occurrence is calculated using logit regression. Results have shown that banking system indicators have higher impact on probability of systemic banking crisis occurrence compared to macroeconomic indicators, and that the banking systems of these countries are significantly exposed to global trends.

Language: English
Page range: 165 - 186
Submitted on: Nov 22, 2017
Accepted on: Dec 27, 2017
Published on: May 14, 2018
Published by: Central Bank of Montenegro
In partnership with: Paradigm Publishing Services
Publication frequency: 3 issues per year

© 2018 Željka Asanović, published by Central Bank of Montenegro
This work is licensed under the Creative Commons Attribution-NonCommercial-NoDerivatives 4.0 License.