How does central bank transparency affect systemic risk? Evidence from developed and developing countries

X Zhang, Q Liang, CC Lee - The Quarterly Review of Economics and …, 2023 - Elsevier
This research explores the effects of central bank transparency on systemic risk by taking
1780 commercial banks in 50 countries during 2006–2015 as samples and also discusses …

[HTML][HTML] ESG and asset quality in the banking industry: The moderating role of financial performance

M Cantero-Saiz, S Polizzi, E Scannella - Research in International Business …, 2024 - Elsevier
This paper aims to analyse the relationship between ESG and bank asset quality and the
moderating role of profitability. We examine an international sample of 96 banks located in …

Macroprudential regulations and systemic risk: Does the one-size-fits-all approach work?

MS Rizwan - Journal of International Financial Markets, Institutions …, 2021 - Elsevier
This study empirically investigates whether systemic risk varies among countries with
different income levels in response to macroprudential policy instruments (MPIs). The results …

White-collar money laundering through opportunistic earnings management: fair value accounting practices of failed finance companies in Sri Lanka

SGSD Jayasekara, W Perera, R Ajward - Journal of Financial Crime, 2022 - emerald.com
White-collar money laundering through opportunistic earnings management: fair value
accounting practices of failed finance companies in Sri Lanka | Emerald Insight Books and …

Macro-prudential regulations and systemic risk: the role of country-level governance indicators

MS Rizwan, A Qureshi, IU Sahibzada - Journal of Banking Regulation, 2023 - Springer
This paper empirically examines the moderating role of country-level governance indicators
(CGIs) in the relationship between macro-prudential policy instruments (MPI) and systemic …

Specifics of innovation project portfolio management

A Miletic, P Belokapic, B Nesic - Oditor, 2020 - HeinOnline
U doba turbulentnosti savremenog poslovanja, gde se inovacije pozicioniraju kao kljuini
faktor kreiranja konkurentske prednosti i resursno-orjentisane strategije, kada u prvi plan …

Banks' position from the aspect of financial indicators analysis

S Bakic, Z Petkovic - Oditor, 2020 - HeinOnline
Likvidnost se moze definisati kao sposobnost subjekta da izmiri kratkoroine obaveze po
dospedu. Predmet ovog istrazivanja je analiza polozaja banaka na trzistu novca s cijem …

Central Bank Transparency and Capital Market Reaction: A Systematic Review

M Moazzami, H Ghodrati Ghazaani… - Advances in …, 2024 - sanad.iau.ir
Background and Objective: In an expansive test of nations over distinctive geographic
districts and over a long period of time, we discover restricted nation and variable-specific …

[PDF][PDF] Specifičnosti upravljanja portfolijom inovacionih projekata

A Miletić, P Belokapić, B Nešić - 2020 - cefi.edu.rs
U doba turbulentnosti savremenog poslovanja, gde se inovacije pozicioniraju kao ključni
faktor kreiranja konkurentske prednosti i resursno-orjentisane strategije, kada u prvi plan …

[PDF][PDF] Pozicija banaka sa aspekta analize finansijskih pokazatelja

S Bakić - Oditor, 2020 - academia.edu
Likvidnost se može definisati kao sposobnost subjekta da izmiri kratkoročne obaveze po
dospeću. Predmet ovog istraživanja je analiza položaja banaka na tržištu novca s ciljem utvr …