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Journal

2017 | 1 | 102-116

Article title

Analysis of Income and Profitability Indicators in Banking Sectors During the Period 1995 - 2009: Post-communist vs. OECD Countries

Content

Title variants

Languages of publication

EN

Abstracts

EN
This article presents an analysis of income and profitability indicators for the banking sectors of six post-communist countries and compares them with a group of eighteen OECD countries without a “communist” past. The analysis focuses on five relative indicators (interest income/fees and commissions income; fees and commissions/bank assets; interest income/bank assets; profit/assets; fees and commissions/non-interest income), which are subsequently controlled with macroeconomic indicators (GDP, interest rate and inflation) for the period 1995 2009. The results of the econometric model corresponded with three out of the five assumptions made about the effects of post-communism. However, only the hypothesis that post-communist countries used their assets for higher net income from fees and commissions is significantly verified. Discrepancies were explained by x-inefficiencies on the cost side and a constant pressure on revenue stream diversification, which is in accordance with scholarly literature.

Journal

Year

Volume

1

Pages

102-116

Physical description

Dates

published
2017-06-27

Contributors

author
  • J. E. Purkyně University in Ústí nad Labem
author
  • J. E. Purkyně University in Ústí nad Labem

References

Document Type

Publication order reference

Identifiers

YADDA identifier

bwmeta1.element.desklight-4f9a6f6f-5818-468a-97cb-24ba7fb4d5b9
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