[HTML][HTML] Web usage analysis of Pillar 3 disclosed information by deposit customers in turbulent times

M Munk, A Pilkova, L Benko, P Blazekova… - Expert Systems with …, 2021 - Elsevier
Market discipline has been a scrutinized area since the last financial crisis in 2008.
Regulators strengthened their role particularly through Pillar 3 in Basel III. However, there …

The impact of market discipline on charter value of commercial banks: empirical evidence from Pakistan stock exchange

MN Akhtar, S Saleem - The Journal of Asian Finance, Economics …, 2021 - koreascience.kr
To tranquilize the devastating impact of unnecessary risk-taking behavior of banks towards
the economy for maximizing their profits that usually arises due to widely known'moral …

The direct and indirect impacts of good corporate governance on banking stability: An empirical study in Indonesia

S Yuniarti, G Chandrarin… - International Journal of …, 2018 - eprints.unmer.ac.id
This study describes the dimensions of good corporate governance (GCG), bank risk, market
discipline, banking stability and analyzes the influence of GCG on banking stability, both …

Transparency and market discipline: evidence from the Russian interbank market

F Guillemin, M Semenova - Annals of Finance, 2020 - Springer
This article investigates the role of bank voluntary disclosure, as a source of information
about risk, in the interbank market. Using data on the 179 largest Russian banks over the …

Market discipline and the risk‐taking behaviour of banks in India

DA Bhat, U Chanda, AK Bhat - International Journal of Finance …, 2024 - Wiley Online Library
After the financial crisis, the Indian banking system has accumulated a mountain of bad
loans which has crippled the banking sector and halted the credit flow to the industry …

Research on commercial bank risk early warning model based on dynamic parameter optimization neural network

Y Wang - Journal of Mathematics, 2022 - Wiley Online Library
Based on the background of big data, it is necessary to study the dynamic parameter
optimization of the commercial bank risk model neural network. Several customer …

[PDF][PDF] Essays on bank lending behaviour and non-performing assets in the Indian banking system

DA Bhat - 2023 - dspace.bits-pilani.ac.in
The post-crisis bad loan surge in the Indian banking system, especially public sector banks
has raised a serious policy concern about the financial stability in India. Being a bank-based …

예금자보호한도초과예금의증가가저축은행의경영위험에미치는영향

김민혁, 김남현 - 재무관리연구, 2019 - dbpia.co.kr
본 연구는 국내 저축은행에 대해 예금자보호한도인 5 천만 원을 초과하는 예금의 비중 증가와
경영위험과의 관계를 실증적으로 분석하고 있다. 또한 5 천만 원 초과예금 비중이 상이한 …

Seguro de depósitos e intermediários financeiros: impactos na disciplina de mercado da indústria bancária brasileira

MP Ohlson - 2020 - teses.usp.br
Disciplina de mercado refere-se à atuação dos depositantes e demais fornecedores de
recursos monitorando a tomada de risco dos bancos e, com base neste monitoramento …

[引用][C] The impact of bank specific and macroeconomic factors on the capital structure of banking sector in Turkey

SH Ali - Sosyal Bilimler Enstitüsü