Systemic risk, corporate governance and regulation of banks across emerging countries

AM Andrieş, S Nistor - Economics Letters, 2016 - Elsevier
This paper investigates the impact of governance and regulation on systemic risk banks from
10 CEE countries. Our results show that tight internal risk management mechanisms and …

[图书][B] Corporate governance, regulation and bank risk-taking behaviour in developing Asian countries

H Luu - 2015 - virtusinterpress.com
Using data from ten selected developing Asian countries, this paper investigated empirically
the influences of corporate governance and regulations on bank risk-taking behaviour. We …

How the corporate governance mechanisms affect bank risk taking

E Mamatzakis, X Zhang, C Wang - 2017 - mpra.ub.uni-muenchen.de
The effectiveness of the management team, ownership structure and other corporate
governance systems in determining appropriate risk taking is a critical issue in a modern …

Does the country's institutional quality enhance the role of risk governance in preventing bank risk?

QK Nguyen, VC Dang - Applied Economics Letters, 2023 - Taylor & Francis
This study investigates the relationship between risk governance effectiveness and bank risk
at different levels of institutional quality. We find that risk governance effectiveness …

Corporate governance and systemic risk: Evidence from Chinese-listed banks

CC Lee, Y Wang, X Zhang - International Review of Economics & Finance, 2023 - Elsevier
This research empirically examines the influence of internal and external governance on
bank systemic risk. Employing data of listed banks in China during 2007–2020, the results …

How corporate governance and ownership affect banks' risk-taking in the MENA countries?

L Otero, R Alaraj, R Lado-Sestayo - European journal of management …, 2020 - emerald.com
Purpose The purpose of this paper is to explore the relationship between corporate
governance and risk-taking behaviour of banks operating in the Middle East and North …

Do banks effectively manage their risks? The role of risk governance in the MENA region

AA Aljughaiman, A Salama - Journal of Accounting and Public Policy, 2019 - Elsevier
This study aims to investigate (1) the effects of the creation of a board-level risk committee
(RC) and the designation of a chief risk officer (CRO) on the risk-taking practices undertaken …

Internal risk governance and external capital regulation affecting bank risk-taking and performance: Evidence from PR China

X Zhang, F Li, J Ortiz - International Review of Economics & Finance, 2021 - Elsevier
This study analyses the relationship between risk governance mechanisms and bank risk-
taking performance in 44 Chinese listed banks, between 2005 and 2018. The results …

Systemic risk, bank capital, and deposit insurance around the world

D Bostandzic, M Pelster, GNF Weiß - Bank Capital, and Deposit …, 2014 - papers.ssrn.com
We analyze the effect of bank capital, regulation and deposit insurance on the global
systemic risk of international banks during the period of 1999-2012. Using a comprehensive …

Does risk governance mediate the impact of governance and risk management on banks' performance? Evidence from a selected sample of Islamic banks

S Jallali, F Zoghlami - Journal of Financial Regulation and …, 2022 - emerald.com
Purpose Relying on the agency theory and the financial intermediation theory, the purpose
of this paper is to examine to what extent risk governance would improve corporate …