| Title | The impact of country risk factors on bank's earnings volatility in emerging Europe |
| Publication Type | Journal Article |
| Year of Publication | 2026 |
| Date Published | 04/2026 |
| Journal | International Journal of Development Issues |
| Pagination | 1-19 |
| Type of Article | Research article |
| Publication Language | English |
| Authors | Ganić, M |
| Publisher | Emerald Publishing Limited |
| ISSN Number | ISSN 1446-8956 EISSN 1758-8553 |
| Keywords | bank's earnings volatility, country risk, emerging Europe, Panel-Corrected Standard Errors (PCSE) |
| Abstract | Purpose: This paper empirically investigates how a country's risk factors, including ESG risk and sovereign risks, influence the earnings volatility of banks in 19 emerging European countries between 2000 and 2023. Practical implications: Emerging European countries should adopt sophisticated risk management frameworks that integrate sovereign and ESG risks. ESG factors should be included in financial risk assessments, and governments should focus on improving condition of a sovereign's environmental sustainability, the resilience of their social systems, and the effectiveness of their governance. |
| DOI | 10.1108/IJDI-09-2024-0231 |
| Refereed Designation | Refereed |