首页    期刊浏览 2024年11月08日 星期五
登录注册

文章基本信息

  • 标题:Impact of Basel II on Bank Portfolios in Australia
  • 本地全文:下载
  • 作者:Muhammad Saifuddin Khan ; Shahidul Islam
  • 期刊名称:European Journal of Business and Management
  • 印刷版ISSN:2222-2839
  • 电子版ISSN:2222-2839
  • 出版年度:2019
  • 卷号:11
  • 期号:5
  • 页码:25-40
  • DOI:10.7176/EJBM/11-5-04
  • 出版社:The International Institute for Science, Technology and Education (IISTE)
  • 摘要:This paper analyses the sensitivity of various risk-weighted assets and liabilities to regulatory capital ratios of domestic and foreign banks in Australia. In particular, this paper investigates whether the growth of various risk-weighted assets changes during the post-Basel II period and whether those changes are caused by the more rigorous capital regulation introduced by the Basel II. The empirical analysis shows that Australian local banks is found to experience a substantial increase of the high-risk weighted assets (namely, non-residential loans) and subordinated debt with respect to their tier 1 capital ratio. The same changes, however, are found to have insignificant influence on the growth of low-risk weighted assets and total asset.
  • 关键词:Regulatory capital; Basel II; Bank; Australia
国家哲学社会科学文献中心版权所有