The risk implications of forecast errors of bank earnings, 1976‐1986

The risk implications of forecast errors of bank earnings, 1976‐1986

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Article ID: iaor201522975
Volume: 12
Issue: 3
Start Page Number: 261
End Page Number: 268
Publication Date: Sep 1989
Journal: Journal of Financial Research
Authors: ,
Keywords: finance & banking, forecasting: applications, statistics: empirical
Abstract:

The forecast errors arising from security analysts' predictions of commercial bank earnings are investigated here and compared with the earnings forecast errors associated with savings and loans, other financial services organizations, and a random sample of nonfinancial firms from 1976 to 1986. Although bank earnings forecast errors did increase over 1976–1986, analyses suggest that the rise was less than at other industries considered in the study. The increase in forecast errors appears to be centered at multinational banking organizations, with only limited increases in earnings forecast errors at regional banks.

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