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Street Talk | Episode 77: Excess liquidity, low rates leave banks between a rock and M&A

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Listen: Street Talk | Episode 77: Excess liquidity, low rates leave banks between a rock and M&A

In the episode, Jeff Davis, managing director at Mercer Capital, said the real risk facing the U.S. banking sector is that interest rates do not increase materially from current levels and that excess liquidity remains on balance sheets longer than many expect. Banks' traditional revenue streams have also come under pressure at a time when digital adoption has accelerated considerably due to the pandemic. Davis believes banks have little maneuvering room and expect more institutions to look to M&A to cut costs associated with branches to offset revenue headwinds.

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