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Concentration in Southeast Asia Banking

Mohd Khan, Shazida Jan (2014) Concentration in Southeast Asia Banking. American Journal of Economics, 4 (3). pp. 150-158. ISSN 2166-4951

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Abstract

This paper will contribute to the structure and performance literature that involved research on the performance of Southeast Asia (SEA) banks after experiencing the financial crisis in mid-1997.In line with recent development in market structure research and literature, it expanded the analysis of concentration by investigating the structure performance consequence during the post Asian financial crisis period, 1999 to 2005 focusing on six countries that most effected by Asian financial crisis, Indonesia, Korea, Malaysia, Philippines and Thailand. This study looks into the concentration ratio by employing two most common measures; the k-bank concentration ratios and Herfindahl Hirschman Index (HHI), extended the analysis to test the Efficient Structure(ES) hypothesis.Our findings reject the traditional Structure Conduct Performance(SCP)paradigm in Southeast Asia banking.

Item Type: Article
Uncontrolled Keywords: 1997 Financial Crisis, Bank Concentration, Efficiency Structure Hypothesis
Subjects: H Social Sciences > HG Finance
Divisions: School of Economics, Finance & Banking
Depositing User: Mrs. Shazida Jan Mohd Khan
Date Deposited: 13 Nov 2014 01:46
Last Modified: 18 Apr 2016 03:06
URI: https://repo.uum.edu.my/id/eprint/12673

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