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Sustainability and stability : ESG-credit risk dynamics in EU banks
ID
Porenta, Jan
(
Avtor
),
ID
Matko, Iza
(
Avtor
),
ID
Ichev, Riste
(
Avtor
)
URL - Izvorni URL, za dostop obiščite
https://www.ebrjournal.net/home/vol28/iss1/3/
PDF - Predstavitvena datoteka,
prenos
(1,44 MB)
MD5: F221FCD550B9F1354F86FF7AF5A3A2B4
Galerija slik
Izvleček
This study examines the relationship between bank-specific environmental, social, and governance (ESG) perfor- mance and credit risk in the European Union (EU), focusing on differences between euro area (EA) and non-EA banks, as well as developed versus emerging EU markets. Using panel data for 87 EU banks from 2014–2023 and static fixed-effects models, credit risk is measured via ratios of nonperforming loans to loans, assets, and equity, while ESG is assessed using both ESG and ESG combined scores. Results show a statistically significant negative association between ESG performance and credit risk for the full sample, EA banks, and banks in developed markets, supporting stakeholder and legitimacy theories. No significant relationship is found for non-EA banks, and in some emerging-market cases, a reverse dynamic suggests a potential trade-off aligned with shareholder theory. Social and governance pillars drive the observed effects, while the environmental pillar is insignificant. Additional analysis reveals that the ESG–credit risk relationship may be conditional on banks’ financial structure, with the risk-mitigating effect of ESG becoming stronger for more highly leveraged banks. Findings further highlight the role of ESG integration in credit-risk management, with implications for regulatory policy, particularly in emerging EU markets. The results are robust to various model specifications.
Jezik:
Angleški jezik
Ključne besede:
EU
,
banking
,
euro
,
emerging markets
,
credit risk
,
ESG
,
Euro area
,
EU banking
Vrsta gradiva:
Članek v reviji
Tipologija:
1.01 - Izvirni znanstveni članek
Organizacija:
EF - Ekonomska fakulteta
Status publikacije:
Objavljeno
Različica publikacije:
Objavljena publikacija
Leto izida:
2026
Št. strani:
Str. 35-58
Številčenje:
Vol. 28, iss. 1, article no. 3
PID:
20.500.12556/RUL-180697
UDK:
336.71
ISSN pri članku:
2335-4216
DOI:
10.15458/2335-4216.1367
COBISS.SI-ID:
268667139
Datum objave v RUL:
18.03.2026
Število ogledov:
114
Število prenosov:
43
Metapodatki:
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Objavi na:
Gradivo je del revije
Naslov:
Economic and business review
Založnik:
Ekonomska fakulteta
ISSN:
2335-4216
COBISS.SI-ID:
268649216
Licence
Licenca:
CC BY 4.0, Creative Commons Priznanje avtorstva 4.0 Mednarodna
Povezava:
http://creativecommons.org/licenses/by/4.0/deed.sl
Opis:
To je standardna licenca Creative Commons, ki daje uporabnikom največ možnosti za nadaljnjo uporabo dela, pri čemer morajo navesti avtorja.
Sekundarni jezik
Jezik:
Slovenski jezik
Ključne besede:
EU
,
bančništvo
,
evro
,
razvijajoči se trgi
Projekti
Financer:
ARIS - Javna agencija za znanstvenoraziskovalno in inovacijsko dejavnost Republike Slovenije
Številka projekta:
P5-0161
Naslov:
Izzivi vlagateljev, podjetij, finančnih institucij in države v negotovem evropskem gospodarskem okolju
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