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 …
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 …
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 …
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 …
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 …
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 …
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 …