Market concentration in the banking sector: evidence from Serbia
Market concentration in the banking sector: evidence from Serbia
Autori:
Časopis: Industrija
Volume, no: 41 , 2
ISSN: 0350-0373
DOI: 10.5937/industrija41-4064
Stranice: 7-25
Apstrakt:
The aim of this paper is to research the level and development of market concentration in the banking sector in Serbia. In the first chapter, the authors presented different concentration theories from economic literature and explained the possible impact of high concentration on various economic parameters. The second chapter provides information on methodology and different indicators used in order to measure the level of market concentration in the banking sector in Serbia. Empirical results of the analysis are presented in the third chapter of the paper and they include concentration of assets, capital, loans, deposits, interest income and net profit (loss) before tax, as well as comparative analysis with Central, Eastern and South European countries. Finally, the last chapter summarizes key messages of the paper.
Ključne reči: market; banking; concentration ratio; Gini coefficient; Hirschmann-Herfindahl index
Kategorije objave:
Bibliografske reference nastavnika Univerziteta Singidunum
Zahvaljujemo se što ste preuzeli publikaciju sa portala Singipedia.
Ukoliko želite da se prijavite za obaveštenja o sadržajima iz oblasti ove publikacije, možete nam ostaviti adresu svoje elektronske pošte.