Does Board Diversity and Financial Ratio Predict the Risk of Financial Distress?? Evidence from Indonesia

N Nurcahyono, AN Hanum… - … Conference on Business …, 2023 - atlantis-press.com
COVID-19 caused the world financial crisis, as evidenced by the number of companies
experiencing financial distress. This study aims to identify companies in the transportation …

The Impact of the Corporate Governance Mechanisms on Insurance Risk: Perspective from Insurance Industry

NA Abebe, NK Dhaliwal - Review of Middle East Economics and …, 2024 - degruyter.com
This study examined the correlation between corporate governance mechanisms and
insurance risk in Ethiopian insurance companies. The study employed various multivariate …

Nexus between Corporate Governance and Bank 'Risks: Insight from the Commercial Banks in Pakistan

J ur Rehman, K Hussain, I Ahmed, A Latif… - Bulletin of Business …, 2024 - bbejournal.com
Corporate governance and risk management are the essential elements of contemporary
business management of commercial banks. This study endeavors to shed light on the …

[HTML][HTML] Applying the Meta-Synthesis Method in Banking Operational Risk Management Methodology

H Naderi, MA Rastegar - Journal of Asset Management and Financing, 2022 - amf.ui.ac.ir
In recent years, after the economic crises, the value of operational risk assessment has been
observed in the financial industry, while the biggest impact of operational risk has been on …

[PDF][PDF] Operational risk management guidelines for Ghanaian banks to advance Basel III compliance

GPM Grebe - SIGNATURE, 2023 - core.ac.uk
Abstract The 2007-2008 global financial crisis (GFC) exposed the shortcomings and
inefficiencies of the global banking system, and these weaknesses were not limited to only …

Predicting the Risk of Financial Distress Using Intellectual Capital and Financial Ratio

NFM Timoty, N Nurcahyono, K Yasaputri… - International …, 2023 - atlantis-press.com
The economic downturn was resulting from the Covid-19 pandemic impacted financial
difficulties in financial sector companies. Financial sector companies that have negative …

[PDF][PDF] Bank governance and risk-taking: A survey of the literature

Z Ramly, N Basharahil - The Middle East International Journal for Social …, 2021 - meijss.org
This paper aims to review the existing theoretical and empirical literature on the relationship
between bank governance mainly board of directors' features and risk-taking to provide a full …

Deposit Taking Microfinance Institutions Governance and Implications on Clients' Livelihood Sustainability in Nakuru County, Kenya.

CK Ndung'u - 2023 - repository.spu.ac.ke
The microfinance institutions' clients' livelihoods sustainability is affected negatively by the
high interest imposed on borrowed loans and the legal enforcement used by the …

[HTML][HTML] به‌کارگیری روش فراترکیب در روش‌شناسی مدیریت ریسک عملیاتی بانکی

نادری, حامد, رستگار - مدیریت دارایی و تامین مالی, 2022‎ - amf.ui.ac.ir
اهداف: در سال‌های اخیر بعد از بحران‌های اقتصادی به‌وجودآمده، ارزش ارزیابی ریسک عملیاتی در صنعت
مالی مشاهده شد که بیشترین تأثیر ریسک عملیاتی بر صنعت بانکداری بود؛ درنتیجه بعد از …