2021
DOI: 10.1177/09721509211045747
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Nexus of Bank Income Structure and Risk: Evidence from Balkans

Abstract: In this study, we analysed the income structure of the 30 largest banks in seven Balkan countries in the period before, during and after the global economic crisis. Considering that the structure of income primarily consists of interest-bearing and non-interest-bearing income, we analysed whether the crisis has affected the change in the structure of banks’ income in the Balkans. To analyse this, we used panel and quantile regressions models. The study additionally implemented quantile regression for checking … Show more

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