This study maps the conceptual structure of the body of knowledge concerning bank risk to understand this research strand better. A bibliometric analysis including 671 publications …
O Amrani, A Najab - Journal of risk and financial management, 2022 - mdpi.com
This paper examines the impact of multi-layer corporate governance (MCG) on banks' performance under the global financial crisis (GFC) and COVID-19. Using a random and …
MS Nguyen - Banks and Bank Systems, 2021 - pdfs.semanticscholar.org
The objective of this study is to provide more empirical evidence on the impact of the capital adequacy ratio, as well as control and micro variables, on the financial stability of …
V Fiador - Gender in Management: An International Journal, 2023 - emerald.com
Purpose This study aims to examine the relationship between corporate governance, including board gender diversity and bank risk-taking behaviour in Ghana …
In this study, we explored the association of bank-level governance and state-level governance with the likelihood of banks' financial distress in developing economies. Using a …
Bank stability is a goal that bank managers aim for in addition to the goal of maximizing shareholder value. To achieve this goal, commercial banks have applied various solutions …
This study examines the impact of political risk and corporate governance mechanisms (CGM) on bank stability. The research problem was addressed using a sample of 954 bank …
This study analyzes the impacts of ownership structure and business diversifications on the risk-taking behaviors of insurance companies in Vietnam. Foreign ownership and …
We investigate the relationship between annual reports' text readability and bank risk-taking in the Gulf Cooperation Council (GCC) countries. We find that easy-to-read annual reports …