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Income diversification and bank performance: evidence from BRICS nations

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dc.contributor.author Sharma, Shweta.
dc.contributor.author Anand.
dc.date.accessioned 2018-12-06T12:27:15Z
dc.date.available 2018-12-06T12:27:15Z
dc.date.issued 2018-09
dc.identifier.citation Sharma, S., & Anand (2018). Income diversification and bank performance: evidence from BRICS nations. International Journal of Productivity and Performance Management, 67(9), 1625-1639. en_US
dc.identifier.issn 17410401
dc.identifier.uri https://doi.org/10.1108/IJPPM-01-2018-0013
dc.identifier.uri http://10.10.16.56:8080/xmlui/handle/123456789/403
dc.description.abstract Purpose:The purpose of this paper is to examine the impact of income diversification on bank performance in BRICS countries as a structural response to concentration risk. The authors argue that effectiveness of this approach is conditional upon its extent and quality. To understand the role of firm-specific characteristics on effectiveness of diversification, the authors examine this relationship across asset sizes. Design/methodology/approach : An unbalanced panel data set of 169 BRICS banks is sampled over the period 2001–2015. Fixed effect models and system generalized method of moments techniques are used to test the relationship between diversification and bank performance using alternate measures. Findings : Results indicate a positive relationship between diversification and performance measured in terms of bank risk and returns for medium and large size banks. However, for small banks this relationship is negative suggesting a “diversification discount.” Originality/value : The study indicates that diversification as a risk mitigating tool can be effective but the managers and regulators should not emphasize on the “one-size-fits-all” approach for all banks. Policy frameworks for controlling concentration risk should be developed keeping in mind factors like bank size, customer base and financial leverage which brings variations to the risk profile of banks. en_US
dc.language.iso en_US en_US
dc.publisher Emerald Publishing Limited en_US
dc.subject Concentration risk en_US
dc.subject Risk management en_US
dc.subject Bank performance en_US
dc.subject BRICS en_US
dc.subject Income diversification en_US
dc.subject IIM Ranchi en_US
dc.title Income diversification and bank performance: evidence from BRICS nations en_US
dc.type Article en_US
dc.volume 67 en_US
dc.issue 9 en_US


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