Geopolitical Risk and Bank Stability in the MENA Region: The Moderating Role of Diversification and Financial Flexibility

地缘政治学 多元化(营销策略) 金融危机 公司治理 经济 金融体系 金融市场 稳健性(进化) 波动性(金融) 新兴市场 货币经济学 财务 业务 汇率灵活性 面板数据 风险管理 政治风险 财务风险 市场流动性 政治 系统性风险 国际经济学 经济体制 金融服务 中国金融体系 索引(排版) 金融经济学 脆弱性(计算)
作者
Dexiang Wu,A L Rashed,Ahmed A. Elamer
出处
期刊:International Journal of Finance & Economics [Wiley]
被引量:1
标识
DOI:10.1002/ijfe.70165
摘要

ABSTRACT We investigate the impact of geopolitical risk on bank stability in the Middle East and North Africa (MENA) region. We further examine how internal strategic factors—namely, bank diversification and financial flexibility—moderate this relationship, potentially serving as buffers against external political shocks. Using a balanced panel of 107 listed MENA banks from 2007 to 2023, comprising 1819 bank‐year observations, we employ panel corrected standard error (PCSE) and robustness checks. It utilises both accounting‐based (Z‐score and NPL) and market‐based (distance‐to‐default and long‐term earnings volatility) indicators of bank stability. We incorporate the Caldara and IacovielloGeopolitical Risk Index and its growth rate to capture both level and momentum effects of geopolitical risks. The findings demonstrate a statistically significant negative relationship between geopolitical risk and bank stability. However, banks with higher levels of diversification and financial flexibility are more resilient to geopolitical shocks, highlighting their moderating role in turbulent geopolitical environments. We further conduct additional tests showing that asset diversification partially and complementarily mediates the adverse effect of geopolitical risk on bank stability. Robustness analyses reveal that strong institutional governance provides critical buffers that enable banks to absorb geopolitical shocks and sustain financial stability. Moreover, crisis‐specific tests indicate that global and regional shocks (e.g., global financial crisis, Arab Spring, COVID‐19 and Russia–Ukraine War) significantly intensify the negative GPR–stability relationship. Geopolitical risk erodes bank stability, particularly in weakly governed and resource‐dependent economies, highlighting banks' heterogeneous vulnerability to external shocks. This paper emphasises the importance of internal strategic buffers in regions prone to political volatility and provides actionable insights for bank executives, regulators and policymakers.
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