Towards green recovery: Can banks achieve financial sustainability through income diversification in ASEAN countries?

dc.contributor.author Najam, Hina
dc.contributor.author Abbas, Jawad
dc.contributor.author Alvarez-Otero, Susana
dc.contributor.author Dogan, Eyup
dc.contributor.author Sial, Muhammad Safdar
dc.contributor.department AGÜ, Yönetim Bilimleri Fakültesi, Ekonomi Bölümü en_US
dc.contributor.institutionauthor Doğan, Eyüp
dc.date.accessioned 2022-12-12T09:01:19Z
dc.date.available 2022-12-12T09:01:19Z
dc.date.issued 2022 en_US
dc.description.abstract Establishing sustainable and balanced development for green financing is critical for improving financial sustainability and banks’ capability. Banks struggle to achieve economic sustainability in the current highly competitive business environment. This research examines the impact of income diversification on financial sustainability proxy by return on assets (ROA) by applying the quantile regression technique to the data from banks of ASEAN countries over the period 2008–2019. In addition, liquidity risk, bank size, interest and non-interest incomes, and market capitalization are studied as control variables. The empirical findings indicate that income diversification positively impacts return on assets at all countries’ lower, middle, and upper quantiles, even though sizes can differ across countries and quantiles. Moreover, market capitalization, non-interest income, and banks’ size favorably impact banks’ performance. In contrast, liquidity risk and interest incomes are negatively linked to the performance of banks for all countries at each quantile. These results have significant strategic implications for managers, regulators, and policymakers who share a common interest in boosting financial sustainability and performance and significantly shaping green recovery. en_US
dc.identifier.endpage 533 en_US
dc.identifier.startpage 522 en_US
dc.identifier.uri https://doi.org/10.1016/j.eap.2022.09.004
dc.identifier.uri https://hdl.handle.net/20.500.12573/1415
dc.identifier.volume 767 en_US
dc.language.iso eng en_US
dc.publisher ELSEVIERRADARWEG 29, 1043 NX AMSTERDAM, NETHERLANDS en_US
dc.relation.isversionof 10.1016/j.eap.2022.09.004 en_US
dc.relation.journal Economic Analysis and Policy en_US
dc.relation.publicationcategory Makale - Uluslararası Hakemli Dergi - Kurum Öğretim Elemanı en_US
dc.rights info:eu-repo/semantics/closedAccess en_US
dc.subject Financial sustainability en_US
dc.subject Quantile regressions en_US
dc.subject Green recovery en_US
dc.subject Return on assets en_US
dc.subject Income diversification en_US
dc.title Towards green recovery: Can banks achieve financial sustainability through income diversification in ASEAN countries? en_US
dc.type article en_US

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