Open Access

The Relationship Between Concentration of the Banking Sector in Poland and Its Soundness


Cite

Allen, F., Beck, T., Carletti, E., Lane, P.R., Schoenmaker, D., Wagner, W. (2011). Cross-Border Banking in Europe: Implications for Financial Stability and Macroeconomic Policies. London: Centre for Economic Policy Research.Search in Google Scholar

Beck, T. (2008). Bank Competition and Financial Stability: Friends or Foes?. World Bank Policy Research Working Paper No. 4656.10.1596/1813-9450-4656Search in Google Scholar

Beck, T., Demirgüç-Kunt, A., Levine, R. (2003). Bank Concentration and Crises. NBER working paper series, Working Paper no. 9921, 1-43. Retrieved from http://www.nber.org/papers/w9921.pdf.10.3386/w9921Search in Google Scholar

Ben Ali, M.S., Intissar, T., Zeitun, R. Banking Concentration and Financial Stability: Evidence from Developed and Developing Countries. Economics Discussion Papers, No 2015-22, Kiel Institute for the World Economy. Retrieved from http://www.economics-ejournal.org/economics/discussionpapers/2015-22.Search in Google Scholar

Berger, A.N., Klapper, L.F., Turk-Ariss, R., Bank Competition and Financial Stability, World Bank. Policy Research Working Paper 4696. Retrieved from: http://documents.worldbank.org/curated/en/121111468339560931/pdf/WPS4696. pdf.Search in Google Scholar

Bird, M. (2015). Even a Bailout Deal Can’t Revive Greece’s Shattered Banking System. Retrieved from http://uk.businessinsider.com/a-greek-bailout-deal-cant-help-greek-banks-2015-7.Search in Google Scholar

Boyd, J.H., De, Nicoló G. (2005). The Theory of Bank Risk-Taking and Competition Revisited. Journal of Finane 60(3), 1329-1343. 10.1111/j.1540-6261.2005.00763.xSearch in Google Scholar

Cooperation agreement on cross-border financial stability, crisis management and resolution between relevant Ministries, Central Banks and Financial Supervisory Authorities of Denmark, Estonia, Finland, Iceland, Latvia, Lithuania, Norway and Sweden. (17.08.2010). Retrieved from http://www.riksbank.se/Upload/Dokument_riksbank/Kat_AFS/2010/8a37263c.pdf.Search in Google Scholar

Craig, B.R., Dinger, V. (2010). Deposit Market Competition , Wholesale Funding, and Bank Risk. European Banking Center Discussion Paper, No. 210-17S, 1-34.10.2139/ssrn.1635242Search in Google Scholar

Davis, K. (2007, August). Banking Concentration, Financial Stability and Public Policy. Paper presented at the Conference on The Structure and Resilience of the Financial System, Sydney, Australia.Search in Google Scholar

De Nederlandsche Bank (2015). Perspective on the Structure of the Dutch Banking Sector, 1-64. Retrieved from http://www.dnb.nl/en/binaries/DNB-study%20Perspective%20on%20the%20structure%20of%20the%20Dutch%20banking%20sector_tcm47-323322.pdf.Search in Google Scholar

European Central Bank (2014). Banking Structures Report, 1-63. Search in Google Scholar

European Commission (2015). Greece - request for stability support in the form of an ESM loanAssessment of: a) the existence of a risk to the financial stability of the euro area; b) whether public debt is sustainable. c) the actual orSearch in Google Scholar

Galbis, V. (1994). Sequencing of Financial Sector Reforms: A Review. IMF Working Paper WP/94/101, 1-32.10.5089/9781451852462.001Search in Google Scholar

Gozdek, M., Kawalec, S. (2012, August). Raport dotyczący optymalnej struktury polskiego systemu bankowego w średnim okresie. Paper presented at National Bank of Poland’s Seminar on Bank Ownership Structure in Poland, Warsaw, Poland.Search in Google Scholar

Heimeshoff , U., Uhde, A. (2008). Consolidation in Banking and Financial Stability in Europe. The Case of Promoting Crossborder Bank Mergers. Retrieved from http://www.uni-graz.at/socialpolitik/papers/Uhde.pdf.Search in Google Scholar

Hills, B., Hoggarth, G. (2013). Cross-border Bank Credit and Global Financial Stability. Bank of England Quarterly Bulletin, 126-136.Search in Google Scholar

International Monetary Fund (2014). Albania. Financial System Stability Assessment. IMF Country Report No. 14/79, 1-95.Search in Google Scholar

International Monetary Fund (2013). Republic of Poland: Financial System Stability Assessment. IMF Country Report No. 13/221, 1-41.Search in Google Scholar

Iwanicz-Drozdowska, M. (2008). Bezpieczeństwo rynku usług finansowych. Warsaw: Oficyna Wydawnicza SGH. Kil, K. Poziom koncentracjia stabilność finansowa sektorów bankowych krajów Europy Środkowo-Wschodniej. Zeszyty Naukowe Szkoły Głównej Gospodarstwa Wiejskiego Ekonomika iOrganizacja GospodarkiŻywnościowej, nr 110, 2015.Search in Google Scholar

Kindleberger, C.P. (1978). Manias, Panics and Crashes: A History of Financial Crisis. New York: Basic Books.10.1007/978-1-349-04338-5Search in Google Scholar

Kornasiewicz, A., Pugacewicz-Kowalska, I. (2002). Znaczenie prywatyzacjidla rozwoju polskiego sektora bankowego. Retrieved from http://www.case-research.eu/upload/publikacja_plik/bre61_3.pdf.Search in Google Scholar

Koutsomanoli-Fillipaki, N., Staikouras, Ch. (2006). Competition and Concentration in the New European Banking Landscape. European Financial Management, Vol. 12, No. 3, 443-482.Search in Google Scholar

Kozak, S. (2013). Consolidation of the Banking Sector in Poland in 1989-2013 in Comparison with the Structural Changes of the Banking Sector in the USA and EU. NBP Working Paper, No. 166, 1-56.10.2139/ssrn.2367256Search in Google Scholar

Labonte, M. (2015). Systemically Important or “Too Big to Fail” Financial Institutions. Congressional Research Service Report, 1-60. Retrieved from https://www.fas.org/sgp/crs/misc/R42150.pdf.Search in Google Scholar

Levine, R. (1996). Foreign Banks, Financial Development and Economic Growth. In C.E. Barfield (Ed.), International Financial Markets (pp. 224-254). Washington: AEiPress.Search in Google Scholar

Markiewicz, M. (2011, February). The Concentration and Competition in the Banking Sectors of the Baltic States in the Context of a Crisis. Paper presented at the Bremen University of Applied Sciences’ Workshop: The Baltic States at Crossroads? Options and Strategies for Sustainable Economic Growth in the Attermath of the Global Financial Crisis. Bremen, Germany.Search in Google Scholar

Méon, P-G.,Weill, L. (2003). Mergers in Europe Help Banks Hedge against Macroeconomic Risk?. LARGE Universite Robert Schuman, Papier No 59.Search in Google Scholar

Minsky, H. (1982). The Financial Instability Hypothesis: Capitalistic Processes and the Behavior of the Economy. In C.P. Kindleberger, J-P. Laff argue (Ed.), Financial Crises: Theory, History, and Policy, Cambridge: Cambridge University Press.Search in Google Scholar

Narodowy Bank Polski(2014). Rozwój systemu finansowego w Polsce w 2013 r., 1-354.Search in Google Scholar

Pawłowska, M. (2015). Changes in the Size and Structure of the European Union Banking Sector - the Role of Competition between Banks. NBP Working Paper, No. 205. 1-38.Search in Google Scholar

Pawłowska, M. (2014a). Jak kształtowała się konkurencja w sektorze bankowym w Polsce iw Europie przed kryzysem iw okresie kryzysu. In E. Balcerowicz (Ed.), Zeszyty mBank - CASE, nr 134/2014, Warsaw: CASE - Centrum Analiz Społeczno-Ekonomicznych - Fundacja Naukowa.Search in Google Scholar

Pawłowska, M. (2014b). Konkurencja w sektorze bankowym. Warsaw: C. H. Beck.Search in Google Scholar

Pawłowska, M., Serwa, D., Zajączkowski, S. (2014). International Transmission of Liquidity Shocks between Parent Banks and their Affiliates: the Host Country Perspective. NBP Working paper, No. 172, 1-38.10.2139/ssrn.2408442Search in Google Scholar

Polish Financial Supervision Authority (2013). Komunikat w sprawie koncentracjiw rynku bankowym. Retrieved from https://www.knf.gov.pl/Images/KNF_koncentracja_na_rynku_bankowym_13_06_2013_tcm75-34800.pdf.Search in Google Scholar

Polish Financial Supervision Authority (2007-2015). Raport o sytuacjibanków. Editions: 2007-2014.Search in Google Scholar

Schoenmaker, D., Wagner, W. (2011). The Impact of Cross-Border Banking on Financial Stability. Duisenberg School of Finance - Tinbergen Institute Discussion Paper. Ti11-054 / DSF 18, 1-30.Search in Google Scholar

Smaga, P. (2014). Pomiar stabilnościfinansowej irola banku centralnego. Bezpieczny Bank, No 4(57), 28-53.Search in Google Scholar

Szczepańska, O. (2008). Stabilność finansowa jako cel banku centralnego. Warsaw: SCHOLAR. Search in Google Scholar

Tabak, B.M., Guerra, S.M., Lima, E.J.A., Chang, E.J. (2007). The Stability-Concentration Relationship in the Brazilian Banking System. Banco Central Do Brasil Working Paper, Np. 145, 1-30.Search in Google Scholar