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The impact of non-interest income on bank risk in Australia

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  1. Bashar Abu Khalaf & Antoine B. Awad & Scott Ellis, 2024. "The Impact of Non-Interest Income on Commercial Bank Profitability in the Middle East and North Africa (MENA) Region," JRFM, MDPI, vol. 17(3), pages 1-15, March.
  2. Cheng, Maoyong & Zhao, Hong & Zhou, Mingming, 2020. "Foreign Strategic Investors, State Ownership, and Non-interest Activities: Evidence from China," Journal of Financial Stability, Elsevier, vol. 50(C).
  3. Renata Karkowska, 2019. "Business Model as a Concept of Sustainability in the Banking Sector," Sustainability, MDPI, vol. 12(1), pages 1-12, December.
  4. Minzhi Wu & Emili Tortosa-Ausina & Paula Cruz-García, 2024. "The impact of diversification on the profitability and risk of Chinese banks: evidence from a semiparametric approach," Empirical Economics, Springer, vol. 67(6), pages 2565-2606, December.
  5. Shaofang Li, 2021. "Quality of Bank Capital, Competition, and Risk-Taking: Some International Evidence," Emerging Markets Finance and Trade, Taylor & Francis Journals, vol. 57(12), pages 3455-3488, September.
  6. Gao, Cuiyun & Wang, Qian, 2023. "Does digital finance aggravate bank competition? Evidence from China," Research in International Business and Finance, Elsevier, vol. 66(C).
  7. Zouaoui, Haykel & Zoghlami, Feten, 2020. "On the income diversification and bank market power nexus in the MENA countries: Evidence from a GMM panel-VAR approach," Research in International Business and Finance, Elsevier, vol. 52(C).
  8. Xian-tong Ren & Chen Jiang & Yuan Cui & Guo-liang Yang & Jean-Michel Sahut, 2025. "Measuring congestion with undesirable outputs in China’s banking industry," Review of Quantitative Finance and Accounting, Springer, vol. 65(1), pages 401-436, July.
  9. Swain, Pankaj & Misra, Arun Kumar & Kumar, Satish & Madhavan, Vinodh, 2026. "Banking on the brink: An incremental cost-based view of financial stress," Research in International Business and Finance, Elsevier, vol. 81(C).
  10. Saklain, Md Sohel, 2024. "FinTech, systemic risk and bank market power – Australian perspective," International Review of Financial Analysis, Elsevier, vol. 95(PA).
  11. Hunjra, Ahmed Imran & Jebabli, Ikram & Thrikawala, Sujani Sudhara & Alawi, Suha Mahmoud & Mehmood, Rashid, 2024. "How do corporate governance and corporate social responsibility affect credit risk?," Research in International Business and Finance, Elsevier, vol. 67(PA).
  12. Maghyereh, Aktham Issa & Yamani, Ehab, 2022. "Does bank income diversification affect systemic risk: New evidence from dual banking systems," Finance Research Letters, Elsevier, vol. 47(PB).
  13. Fan Yang & Tajul Ariffin Masron, 2024. "Does financial inclusion moderate the effect of digital transformation on banks’ proportion of non-interest income in China?," Economic Change and Restructuring, Springer, vol. 57(3), pages 1-24, June.
  14. Durongkadej, Isarin & Hu, Wenyao & Wang, Heng Emily, 2024. "How artificial intelligence incidents affect banks and financial services firms? A study of five firms," Finance Research Letters, Elsevier, vol. 70(C).
  15. Hao, Xiangchao & Sun, Qinru & Xie, Fang, 2022. "International evidence for the substitution effect of FX derivatives usage on bank capital buffer," Research in International Business and Finance, Elsevier, vol. 62(C).
  16. Chunyang WANG & Yongjia LIN, 2018. "The Influence of Income Diversification on Operating Stability of the Chinese Commercial Banking Industry," Journal for Economic Forecasting, Institute for Economic Forecasting, vol. 0(3), pages 29-41, September.
  17. Kim, Hakkon & Batten, Jonathan A. & Ryu, Doojin, 2020. "Financial crisis, bank diversification, and financial stability: OECD countries," International Review of Economics & Finance, Elsevier, vol. 65(C), pages 94-104.
  18. Béchir Ben Lahouel & Lotfi Taleb & Kristína Kočišová & Younes Ben Zaied, 2023. "The threshold effects of income diversification on bank stability: an efficiency perspective based on a dynamic network slacks-based measure model," Annals of Operations Research, Springer, vol. 330(1), pages 267-304, November.
  19. Rahman, Md Lutfur & Troster, Victor & Uddin, Gazi Salah & Yahya, Muhammad, 2022. "Systemic risk contribution of banks and non-bank financial institutions across frequencies: The Australian experience," International Review of Financial Analysis, Elsevier, vol. 79(C).
  20. Moradi-Motlagh, Amir & Jubb, Christine, 2020. "Examining irresponsible lending using non-radial inefficiency measures: Evidence from Australian banks," Economic Analysis and Policy, Elsevier, vol. 66(C), pages 96-108.
  21. Fung, Derrick W.H. & Lee, Wing Yan & Yeh, Jason J.H. & Yuen, Fei Lung, 2020. "Friend or foe: The divergent effects of FinTech on financial stability," Emerging Markets Review, Elsevier, vol. 45(C).
  22. Tang, Mengxuan & Hu, Yang & Corbet, Shaen & Hou, Yang (Greg) & Oxley, Les, 2024. "Fintech, bank diversification and liquidity: Evidence from China," Research in International Business and Finance, Elsevier, vol. 67(PA).
  23. Williams, Barry & Rajaguru, Gulasekaran, 2022. "The evolution of bank revenue and risk in the Asia-Pacific Region," Pacific-Basin Finance Journal, Elsevier, vol. 71(C).
  24. Wang, Xiaodong & Han, Liang & Huang, Xing, 2020. "Bank market power and SME finance: Firm-bank evidence from European countries," Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 64(C).
  25. Paltrinieri, Andrea & Dreassi, Alberto & Rossi, Simone & Khan, Ashraf, 2021. "Risk-adjusted profitability and stability of Islamic and conventional banks: Does revenue diversification matter?," Global Finance Journal, Elsevier, vol. 50(C).
  26. Anupam Das Gupta & Syed Moudud-Ul-Huq, 2020. "Do competition and revenue diversification have significant effect on risk-taking? Empirical evidence from BRICS banks," International Journal of Financial Engineering (IJFE), World Scientific Publishing Co. Pte. Ltd., vol. 7(01), pages 1-28, March.
  27. Wang, Yu & Lu, Yiming & Song, Gaoya, 2025. "Sudden stops of capital inflows, macroprudential policies, and bank systemic risk: An international investigation," Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 99(C).
  28. Swain, Pankaj & Poddar, Abhishek & Misra, Arun Kumar, 2025. "How stressed are the banks? An inter-temporal network analysis," Emerging Markets Review, Elsevier, vol. 69(C).
  29. Wu, Chen & Dong, Zhiyong, 2025. "Robo-advisory services and bank risk: Evidence from Chinese commercial banks," Finance Research Letters, Elsevier, vol. 86(PA).
  30. Christina Bui, 2018. "Bank Regulation and Financial Stability," PhD Thesis, Finance Discipline Group, UTS Business School, University of Technology, Sydney, number 5-2018, January-A.
  31. Cummings, James R. & Guo, Yilian, 2020. "Do the Basel III capital reforms reduce the implicit subsidy of systemically important banks? Australian evidence," Pacific-Basin Finance Journal, Elsevier, vol. 59(C).
  32. Oktofa Yudha Sudrajad & Georges Hübner, 2019. "Empirical evidence on bank market power, business models, stability and performance in the emerging economies," Eurasian Business Review, Springer;Eurasia Business and Economics Society, vol. 9(2), pages 213-245, June.
  33. Sylwester Kozak & Agata Wierzbowska, 2022. "Did the COVID-19 pandemic amplify the positive impact of income diversification on the profitability of European banks?," Equilibrium. Quarterly Journal of Economics and Economic Policy, Institute of Economic Research, vol. 17(1), pages 11-29, March.
  34. Moudud-Ul-Huq, Syed & Ashraf, Badar Nadeem & Gupta, Anupam Das & Zheng, Changjun, 2018. "Does bank diversification heterogeneously affect performance and risk-taking in ASEAN emerging economies?," Research in International Business and Finance, Elsevier, vol. 46(C), pages 342-362.
  35. Abuzayed, Bana & Al-Fayoumi, Nedal & Molyneux, Phil, 2018. "Diversification and bank stability in the GCC," Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 57(C), pages 17-43.
  36. Haykel Zouaoui & Faten Zoghlami, 2023. "What do we know about the impact of income diversification on bank performance? A systematic literature review," Journal of Banking Regulation, Palgrave Macmillan, vol. 24(3), pages 286-309, September.
  37. Saklain, Md Sohel & Williams, Barry, 2024. "Non-interest income and bank risk: The role of financial structure," Pacific-Basin Finance Journal, Elsevier, vol. 85(C).
  38. Sherika Antao & Ajit Karnik, 2022. "Bank Performance and Noninterest Income: Evidence from Countries in the Asian Region," Asia-Pacific Financial Markets, Springer;Japanese Association of Financial Economics and Engineering, vol. 29(3), pages 477-505, September.
  39. Thuy Thu Nguyen & Hai Hong Ho & Duy Van Nguyen & Anh Cam Pham & Trang Thu Nguyen, 2021. "The Effects of Business Model on Bank’s Stability," IJFS, MDPI, vol. 9(3), pages 1-12, August.
  40. Frank Antwi & Mercy Kwakye, 2022. "Modelling the effect of bank performance on financial stability: Fresh evidence from africa," International Journal of Research in Business and Social Science (2147-4478), Center for the Strategic Studies in Business and Finance, vol. 11(7), pages 143-151, October.
  41. Peterson K. Ozili, 2018. "Banking stability determinants in Africa," International Journal of Managerial Finance, Emerald Group Publishing Limited, vol. 14(4), pages 462-483, May.
  42. Béchir Ben Lahouel & Lotfi Taleb & Younes Ben Zaied & Shunsuke Managi, 2024. "Financial stability, liquidity risk and income diversification: evidence from European banks using the CAMELS–DEA approach," Annals of Operations Research, Springer, vol. 334(1), pages 391-422, March.
  43. Atasoy, Burak Sencer & Özkan, İbrahim & Erden, Lütfi, 2024. "The determinants of systemic risk contagion," Economic Modelling, Elsevier, vol. 130(C).
  44. Wang, Chunyang & Lin, Yongjia, 2021. "Income diversification and bank risk in Asia Pacific," The North American Journal of Economics and Finance, Elsevier, vol. 57(C).
  45. Holod, Dmytro & Kitsul, Yuriy & Torna, Gökhan, 2020. "Market risk-based capital requirements, trading activity, and bank risk," Journal of Banking & Finance, Elsevier, vol. 112(C).
  46. Li, Kexin & Chen, Zhongfei & Andrikopoulos, Athanasios, 2024. "Capital inflow liberalization and bank credit risk," Journal of International Money and Finance, Elsevier, vol. 142(C).
  47. Shikha Goyal & Nikita Singhal & Nandita Mishra & Subhash Kumar Verma, 2023. "The impact of macroeconomic and institutional environment on NPL of developing and developed countries," Future Business Journal, Springer, vol. 9(1), pages 1-15, December.
  48. Degl'Innocenti, Marta & Fiordelisi, Franco & Song, Wei & Zhou, Si, 2023. "Shareholder litigation and bank risk," Journal of Banking & Finance, Elsevier, vol. 146(C).
  49. Abedifar, Pejman & Molyneux, Philip & Tarazi, Amine, 2018. "Non-interest income and bank lending," Journal of Banking & Finance, Elsevier, vol. 87(C), pages 411-426.
  50. Wang, Chao & Liu, Xiaoxing & He, Jianmin, 2022. "Does diversification promote systemic risk?," The North American Journal of Economics and Finance, Elsevier, vol. 61(C).
  51. Nguyen, James & Parsons, Richard & Argyle, Bronson, 2021. "An examination of diversification on bank profitability and insolvency risk in 28 financially liberalized markets," Journal of Behavioral and Experimental Finance, Elsevier, vol. 29(C).
  52. Akhtaruzzaman, Md & Chiah, Mardy & Docherty, Paul & Zhong, Angel, 2021. "Betting against bank profitability," Journal of Economic Behavior & Organization, Elsevier, vol. 192(C), pages 304-323.
  53. Dang, Van Dan, 2020. "Do non-traditional banking activities reduce bank liquidity creation? Evidence from Vietnam," Research in International Business and Finance, Elsevier, vol. 54(C).
  54. Kolade Sunday Adesina & Maria Semenova, 2024. "Do non-interest income activities matter for banking sector efficiency? A net interest margin perspective," Applied Econometrics, Russian Presidential Academy of National Economy and Public Administration (RANEPA), vol. 73, pages 59-77.
  55. ZURIYATI AHMAD & Noorhayati Yusof Ali & Roseziahazni Abdul Ghani, 2024. "Banks’ Performance Amid the Unexpected Crises: An Assessment from Malaysia’s Islamic Banks," Information Management and Business Review, AMH International, vol. 16(3), pages 994-1000.
  56. Addai, Bismark & Tang, Wenjin & Gyimah, Adjei Gyamfi & Twumasi, Martinson Ankrah, 2022. "Income diversification and bank performance nexus: Does corruption matter?," Journal of Multinational Financial Management, Elsevier, vol. 65(C).
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