Learning from failure to enhance performance: A systematic literature review of retail failure

I Ahmed, SS Mehta, C Ganeshkumar… - … An International Journal, 2023 - emerald.com
Purpose The objective of this paper is to develop a map of the contours of the phenomenon
of retailer failure by aggregating, parsing and extracting known findings regarding business …

Calculating Strategic Risk in Financial Institutions

T Kedarya, A Elalouf, RS Cohen - Global Journal of Flexible Systems …, 2023 - Springer
Banks face many intangible hazards that are difficult to calculate. Strategic risk is one of the
most critical factors affecting a bank's profitability, financial strength, and commercial …

Resilient banking: model-based assessment of business continuity policies on commercial banks

M Bastan, R Tavakkoli-Moghaddam, A Bozorgi-Amiri - Kybernetes, 2024 - emerald.com
Purpose Commercial banks face several risks, including credit, liquidity, operational and
disruptive risks. In addition to these risks that are challenging for banks to control and …

Banking industry sustainable growth rate under risk: Empirical study of the banking industry in ASEAN countries

Isnurhadi, Sulastri, Y Saftiana, F Jie - Sustainability, 2022 - mdpi.com
This research examines how the banking industry maintains its sustainable growth rate. The
sample consists of 328 commercial banks in the ASEAN area. A fixed effect model is …

Strategic risk, banks, and Basel III: estimating economic capital requirements

A Chockalingam, S Dabadghao… - The Journal of Risk …, 2018 - emerald.com
Strategic risk, banks, and Basel III: estimating economic capital requirements | Emerald Insight
Books and journals Case studies Expert Briefings Open Access Publish with us Advanced …

Hyperbolic distance function, technical efficiency and stability to shocks: A comparison between Islamic banks and conventional banks in MENA region

M Chaffai - Global Finance Journal, 2020 - Elsevier
In this paper, we compare banking performance and resiliency between Islamic banks and
conventional banks in MENA region over the period 2002–2014. Stochastic hyperbolic and …

To be bailed out or to be left to fail? A dynamic competing risks hazard analysis

NI Papanikolaou - Journal of Financial Stability, 2018 - Elsevier
During the global financial crisis, a large number of banks worldwide either failed or
received financial aid thus inflicting substantial losses on the system. We contribute to the …

Risk exposures of European cooperative banks: a comparative analysis

DS Mare, D Gramlich - Review of Quantitative Finance and Accounting, 2021 - Springer
This study sheds light on risk exposures of cooperative banks in Austria, Germany and Italy.
We investigate how major risk elements of banks in these countries have evolved over time …

[PDF][PDF] Technical efficiency in bank liquidity creation

I Hasan, JL Soula - 2017 - efmaefm.org
This paper generates an optimum bank liquidity creation benchmark by tracing an efficient
frontier in liquidity creation (bank intermediation) and questions why some banks are more …

FİRMALARA ÖZGÜ RİSKLERİN FİNANSAL PERFORMANS ÜZERİNDEKİ ETKİLERİ: BİST İMALAT SEKTÖRÜ ÜZERİNE BİR İNCELEME

M Dilmaç, F Altınkaynak, M Küçüker - Muhasebe ve Finans …, 2023 - dergipark.org.tr
Firmaların faaliyet gösterdikleri sektörlerde ya da genel ekonomik koşullarda yaşanabilecek
bir takım değişimler, risk düzeylerini de değiştirebilmektedir. Risk düzeyini değiştirebilecek …