Risk Based bank rating and financial performance of Indonesian commercial banks with GCG as intervening variable
A Nurwulandari, H Hasanudin… - Cogent Economics & …, 2022 - Taylor & Francis
This study aims to analyze the effect of the financial health of Indonesian commercial banks
on financial performance with good corporate governance as an intervening variable. This …
on financial performance with good corporate governance as an intervening variable. This …
Causality between financial inclusion, financial stability and economic growth in sub-Saharan Africa
Financial inclusion has become a policy agenda for financial stability and sustainable
economic growth for the developing world. However, there seems to be a lack of consensus …
economic growth for the developing world. However, there seems to be a lack of consensus …
Economic freedom on bank stability and risk-taking in emerging economy: Indonesian case study
F Defung, R Yudaruddin - Cogent Business & Management, 2022 - Taylor & Francis
This paper examines the effect of economic freedoms on financial stability across banking
industry in Indonesia. Using unbalanced panel data of Indonesian banks, the effect of …
industry in Indonesia. Using unbalanced panel data of Indonesian banks, the effect of …
Does financial inclusion promote financial stability? Evidence from Africa
YMA Koudalo, M Toure - Cogent Economics & Finance, 2023 - Taylor & Francis
This study aims to examine the impact of financial inclusion on financial stability across 54
African countries. Using country-level data that spans a 20-year period from 2000 to 2020 …
African countries. Using country-level data that spans a 20-year period from 2000 to 2020 …
Financial inclusion and financial crisis: arguments, stylized facts and evidence
PK Ozili - Economic Notes, 2024 - Wiley Online Library
The literature has examined the relationship between financial inclusion and financial
stability, but no studies have examined the relationship between financial inclusion and …
stability, but no studies have examined the relationship between financial inclusion and …
The Role of Availability of Financial Institutions and Financial Innovation on the Financial Inclusion: Does Digital Finance Moderate this Linkage?
TT Nguyen, MP Quynh, HN Van, H Le Thi, LN Van… - Cuadernos de …, 2023 - cude.es
In recent years, financial inclusion has been the most critical factor for effective economic
growth (EG), which could be attained through the availability of financial institutions and …
growth (EG), which could be attained through the availability of financial institutions and …
Trade-off between financial inclusion and Islamic bank stability in five GCC countries: the moderating effect of CSR
This research aims to understand the nonlinear relationship between financial inclusion and
Islamic banking stability, as well as the moderating effect of corporate social responsibility …
Islamic banking stability, as well as the moderating effect of corporate social responsibility …
Financial inclusion and non-performing loans in MENA region: the moderating role of board characteristics
This paper investigates how financial inclusion affects credit risk in the MENA region. It also
checks whether board characteristics can moderate this relationship. We use a sample of …
checks whether board characteristics can moderate this relationship. We use a sample of …
Financial inclusion, financial stability, and poverty reduction in Africa
G Tweneboah, AY Nsiah - Economic Notes, 2024 - Wiley Online Library
Financial inclusion universally remains one of the critical means to end poverty in the world,
especially Africa, where the level of poverty is high. It has however been argued that …
especially Africa, where the level of poverty is high. It has however been argued that …
Do financial inclusion and bank competition matter for banks' stability in Asia?
This study investigates the effect of financial inclusion (FI), considering micro and macro
indicators as well as micro-and macro-FI separately, on the stability of Asian banks and …
indicators as well as micro-and macro-FI separately, on the stability of Asian banks and …