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The effects of liquidity risk and credit risk on bank stability: Evidence from the MENA region

Citations

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Cited by:

  1. Mirzat Ullah & Kazi Sohag & M. Kabir Hassan, 2026. "Exploring the relationship between bank liquidity risk and the media sentiment index via big data technology: a study during the COVID-19 pandemic and the Russia–Ukraine conflict," Financial Innovation, Springer;Southwestern University of Finance and Economics, vol. 12(1), pages 1-18, December.
  2. Baldwin, Kenneth & Alhalboni, Maryam, 2025. "Cash out or carry on: When bank runs build resilience," Economics Letters, Elsevier, vol. 256(C).
  3. R. Rupeika-Apoga & S.H. Zaidi & Y.E. Thalassinos & E.I. Thalassinos, 2018. "Bank Stability: The Case of Nordic and Non-Nordic Banks in Latvia," International Journal of Economics & Business Administration (IJEBA), International Journal of Economics & Business Administration (IJEBA), vol. 0(2), pages 39-55.
  4. Hani EL-Chaarani & Yahya Skaf & Fabiana Roberto & Allam Hamdan & Ruaa Omar Binsaddig, 2025. "Assessing the Direct and Moderating Effect of COVID-19 on the Performance of the Banking Sector in the MENA Region," FIIB Business Review, , vol. 14(4), pages 507-520, August.
  5. Maghyereh, Aktham & Abdoh, Hussein, 2024. "Tail risk connectedness among GCC banks episodes from the Global Financial Crisis to COVID-19 pandemic," The Quarterly Review of Economics and Finance, Elsevier, vol. 96(C).
  6. Arindam Bandyopadhyay & Mayuri Saxena, 2023. "Interaction between credit risk, liquidity risk, and bank solvency performance: a panel study of Indian banks," Indian Economic Review, Springer, vol. 58(2), pages 311-328, December.
  7. Rizky Yudaruddin & Bramantyo Adi Nugroho & Mardiany & Zhikry Fitrian & Pebiansyah Hapsari & Yuli Fitrianto & Eka Nor Santi, 2024. "Liquidity and Credit Risk in Indonesia: The Role of FinTech Development," SAGE Open, , vol. 14(2), pages 21582440241, May.
  8. Hongyan Liang, 2021. "The impact of bank liquidity risk on risk-taking and bank lending: evidence from European bank," GATR Journals jfbr187, Global Academy of Training and Research (GATR) Enterprise.
  9. Jagjeevan Kanoujiya & Aman Pushp & Shailesh Rastogi & Venkata Mrudula Bhimavarapu, 2025. "Impact of bank’s liquidity on financial distress of Indian banks under the influence of profitability and competition," Humanities and Social Sciences Communications, Palgrave Macmillan, vol. 12(1), pages 1-10, December.
  10. Huan Huu Nguyen & Thanh Phuc Nguyen & Anh Nguyen Tram Tran, 2022. "Impacts of monetary policy transmission on bank performance and risk in the Vietnamese market: Does the Covid-19 pandemic matter?," Cogent Business & Management, Taylor & Francis Journals, vol. 9(1), pages 2094591-209, December.
  11. Deb Narayan Barik & Siddhartha P. Chakrabarty, 2023. "Loan portfolio management and Liquidity Risk: The impact of limited liability and haircut," Papers 2308.06525, arXiv.org.
  12. Mafo Tchinda, Ghislaine & Bouwawe, Duclo & Mbondo, Georges Dieudonné, 2025. "Performance du secteur bancaire des pays d’Afrique Subsaharienne (ASS) : les effets différenciés de la croissance économique [Banking sector performance in Sub-Saharan Africa (SSA): the differentiated effects of economic growth]," MPRA Paper 123809, University Library of Munich, Germany.
  13. Umar Habibu Umar & Muhamad Abduh & Mohd Hairul Azrin Besar, 2025. "Corporate governance quality index and Islamic bank risk-taking," International Journal of Disclosure and Governance, Palgrave Macmillan, vol. 22(1), pages 284-303, March.
  14. Salma Louati & Younes Boujelbene, 2020. "Inflation targeting and bank risk: The interacting effect of institutional quality," Cogent Business & Management, Taylor & Francis Journals, vol. 7(1), pages 1847889-184, January.
  15. Neily, Oussama & Neily, Mohamed, 2022. "Liquidity and credit problems and the effect on the soundness of Tunisian groups (GDA )," MPRA Paper 114180, University Library of Munich, Germany.
  16. Al-Shboul, Mohammad & Maghyereh, Aktham & Hassan, Abul & Molyneux, Phillip, 2020. "Political risk and bank stability in the Middle East and North Africa region," Pacific-Basin Finance Journal, Elsevier, vol. 60(C).
  17. Ahmed Rufai Mohammad & Mohamad Helmi Bin Hidthiir & Alias Bin Mat Nor, 2019. "Assessing the Effect of Change in Oil Prices, Macroeconomics on the Banking Sector Stability in Oil-Producing Countries," Academic Journal of Economic Studies, Faculty of Finance, Banking and Accountancy Bucharest,"Dimitrie Cantemir" Christian University Bucharest, vol. 5(4), pages 88-93, December.
  18. Nguyen, Thanh Pham Thien & Nghiem, Son & Tripe, David, 2021. "Does oil price aggravate the impact of economic policy uncertainty on bank performance in India?," Energy Economics, Elsevier, vol. 104(C).
  19. Hakimi Abdelaziz & Boussaada Rim & Hamdi Helmi, 2022. "The Interactional Relationships Between Credit Risk, Liquidity Risk and Bank Profitability in MENA Region," Global Business Review, International Management Institute, vol. 23(3), pages 561-583, June.
  20. Khoa Dang Duong & Hoi Vu Le & Duy Nhat Vu & Ai Ngoc Nhan Le, 2023. "Do Bank Funding Diversity and Bank Lending Affect Net Interest Margins? Evidence From Asia Markets Before and During the Covid-19 Pandemic," SAGE Open, , vol. 13(4), pages 21582440231, December.
  21. Ronald Nhleko & Michael Adelowotan, 2025. "Bank-Specific Credit Risk Factors and Long-Term Financial Sustainability: Evidence from a Panel Error Correction Model," Sustainability, MDPI, vol. 17(14), pages 1-27, July.
  22. Ashik-Uz-Zaman & Md.Thasinul Abedin & Md.Sharif Hossain, 2025. "Exploring risk resistant banking strategies: implications for sustainable practices," Future Business Journal, Springer, vol. 11(1), pages 1-18, December.
  23. Lan Khanh Chu, 2021. "Financial Access of Latin America and Caribbean Firms: What Are the Roles of Institutional, Financial, and Economic Development?," Journal of Emerging Market Finance, Institute for Financial Management and Research, vol. 20(2), pages 227-263, December.
  24. Djebali, Nesrine & Zaghdoudi, Khemais, 2020. "Threshold effects of liquidity risk and credit risk on bank stability in the MENA region," Journal of Policy Modeling, Elsevier, vol. 42(5), pages 1049-1063.
  25. Gulati, Rachita & Singh, Nirmal & Kumar, Sunil & Duppati, Geeta, 2023. "Bank stability in the Indian subcontinent region: Evolution and determinants," Pacific-Basin Finance Journal, Elsevier, vol. 79(C).
  26. Bowo Setiyono & Ahmad Maulin Naufa, 2020. "The Impact of Net Stable Funding Ratio on Bank Performance and Risk Around the World," Bulletin of Monetary Economics and Banking, Bank Indonesia, vol. 23(4), pages 543-564, December.
  27. Gunay, Samet, 2020. "Seeking causality between liquidity risk and credit risk: TED-OIS spreads and CDS indexes," Research in International Business and Finance, Elsevier, vol. 52(C).
  28. Daniel Ofori-Sasu & John Kuwornu & Gloria Clarissa Dzeha & Baah Aye Kusi, 2022. "Risk behaviour and insurance efficiency: the role of ownership and regulations from an emerging economies," SN Business & Economics, Springer, vol. 2(7), pages 1-30, July.
  29. Khemais Zaghdoudi, 2019. "The Effects of Risks on the Stability of Tunisian Conventional Banks," Asian Economic and Financial Review, Asian Economic and Social Society, vol. 9(3), pages 389-401, March.
  30. Shiwangi Sethi & Mohinder Singh & Amit Kumar Basantaray, 2025. "A macro–micro framework for predicting bank distress: empirical insights," Indian Economic Review, Springer, vol. 60(1), pages 163-183, June.
  31. Khuc The Anh & Nguyen Duy Dat & Bui Nam Khanh & Bui Huong Giang & Ton Duc Hung, 2026. "The effect of funding risk on commercial bank stability in emerging economies," Journal of Banking Regulation, Palgrave Macmillan, vol. 27(2), pages 1-18, June.
  32. Montes, Gabriel Caldas & Valladares, Matheus & de Moraes, Claudio Oliveira, 2021. "Impacts of the sovereign risk perception on financial stability: Evidence from Brazil," The Quarterly Review of Economics and Finance, Elsevier, vol. 81(C), pages 358-369.
  33. repec:rbs:ijbess:v:7:y:2026:i:6:p:390-398 is not listed on IDEAS
  34. Amara, Tijani & Mabrouki, Mohamed, 2019. "Impact de risque de crédit et de liquidité sur la stabilité bancaire [Impact of liquidity and credit risks on the bank stability]," MPRA Paper 95453, University Library of Munich, Germany.
  35. de Mendonça, Helder Ferreira & de Moraes, Claudio Oliveira, 2018. "Central bank disclosure as a macroprudential tool for financial stability," Economic Systems, Elsevier, vol. 42(4), pages 625-636.
  36. Smaoui, Houcem & Mimouni, Karim & Miniaoui, Héla & Temimi, Akram, 2020. "Funding liquidity risk and banks' risk-taking: Evidence from Islamic and conventional banks," Pacific-Basin Finance Journal, Elsevier, vol. 64(C).
  37. Dhaouadi Hanen & Saidi Hichem & Khemiri Mohamed Ali, 2025. "From Responsibility to Resilience: The Role of Corporate Social Responsibility Committees in the Stability of MENA Banks," Business Systems Research, Sciendo, vol. 16(2), pages 397-416.
  38. Rim Boussaada & Abdelaziz Hakimi & Majdi Karmani, 2022. "Is there a threshold effect in the liquidity risk–non‐performing loans relationship? A PSTR approach for MENA banks," International Journal of Finance & Economics, John Wiley & Sons, Ltd., vol. 27(2), pages 1886-1898, April.
  39. Yousfi, Ridha, 2025. "Impact of Liquidity Risk on Financial Stability," MPRA Paper 126782, University Library of Munich, Germany.
  40. Nesrine Djebali, 2024. "Assessing the determinants of banking stability in the MENA region: what role for economic and financial freedom?," Journal of Banking Regulation, Palgrave Macmillan, vol. 25(2), pages 127-144, June.
  41. Abayomi Oredegbe, 2022. "Competition and Banking Industry Stability: How Do BRICS and G7 Compare?," Journal of Emerging Market Finance, Institute for Financial Management and Research, vol. 21(1), pages 7-31, March.
  42. Hassan, M. Kabir & Khan, Ashraf & Paltrinieri, Andrea, 2019. "Liquidity risk, credit risk and stability in Islamic and conventional banks," Research in International Business and Finance, Elsevier, vol. 48(C), pages 17-31.
  43. Chu, Lan Khanh & Chu, Hung Viet, 2020. "Is too much liquidity harmful to economic growth?," The Quarterly Review of Economics and Finance, Elsevier, vol. 76(C), pages 230-242.
  44. Marwan Alzoubi, 2025. "Liquidity funding and lending in MENA," Journal of Banking Regulation, Palgrave Macmillan, vol. 26(3), pages 464-473, September.
  45. Ameni Ghenimi & Hasna Chaibi & Azhaar Lajmi, 2020. "The liquidity risk-credit risk-profitability trilogy: A comparative study between Islamic and conventional banks," Economics Bulletin, AccessEcon, vol. 40(3), pages 1900-1913.
  46. repec:ers:journl:v:vi:y:2018:i:2:p:39-55 is not listed on IDEAS
  47. Muhammad Iqbal & Hadri Kusuma & Sunaryati Sunaryati, 2022. "Vulnerability of Islamic banking in ASEAN," Islamic Economic Studies, Emerald Group Publishing Limited, vol. 29(2), pages 159-168, May.
  48. Lee, Min-Jae & Choi, Sun-Yong, 2025. "The impact of financial statement indicators on bank credit ratings: Insights from machine learning and SHAP techniques," Finance Research Letters, Elsevier, vol. 85(PA).
  49. Nguyen, Thanh & Nghiem, Son & Bhati, Abhishek Singh, 2024. "Risk-adjusted efficiency and innovation: an examination of systematic difference and convergence among BRIC banks," Economic Systems, Elsevier, vol. 48(1).
  50. Zaroug Bilal & Abdullah AlGhazali & Ahmed Samour, 2024. "GCC banks liquidity and financial performance: does the type of financial system matter?," Future Business Journal, Springer, vol. 10(1), pages 1-15, December.
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