Country Banking Crisis Prediction Using Transvariation Analysis

Author:

Chen Xuejie1,Abebe Asheber2,Zhang Kehao3,Jahera John S.1

Affiliation:

1. Department of Finance, Auburn University AL 36849, USA

2. Department of Mathematics & Statistics, Auburn University AL 36849, USA

3. Department of Computer Science, Auburn University AL 36849, USA

Abstract

The main purpose of this paper is to investigate macroeconomic variables that are predictive of banking crisis. We focus on selecting variables that have high predictive power to discriminate between two groups of countries: the sound and the distressed. We consider a sample of 50 emerging market and developing countries during 1990–2005 time period, and apply generalized estimating equations as well as univariate, bivariate and trivariate transvariation analysis to choose the variables that have high predictive and discriminative powers to separate the distressed countries from the sound countries. In order to compare the predictive performance of these selected variables, we calculate the leave one out predictive error rate for the top ranking variables with low transvariation probability using discrimination procedures. Not surprisingly the results show that countries with better macroeconomic and monetary environments and healthier banking institutions are less likely to suffer systemic banking crisis.

Publisher

World Scientific Pub Co Pte Lt

Subject

Economics and Econometrics,Finance

Cited by 3 articles. 订阅此论文施引文献 订阅此论文施引文献,注册后可以免费订阅5篇论文的施引文献,订阅后可以查看论文全部施引文献

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