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Corporate governance in the 2007–2008 financial crisis: Evidence from financial institutions worldwide
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- Wu, Meng-Wen & Shen, Chung-Hua & Hsu, Hsing-Hua & Chiu, Po-Hao, 2023. "Why did a bank with good governance perform worse during the financial crisis? The views of shareholder and stakeholder orientations," Pacific-Basin Finance Journal, Elsevier, vol. 82(C).
- Díez-Esteban, José María & Farinha, Jorge Bento & García-Gómez, Conrado Diego, 2016. "The role of institutional investors in propagating the 2007 financial crisis in Southern Europe," Research in International Business and Finance, Elsevier, vol. 38(C), pages 439-454.
- Ozlem Akin & José M Marín & José-Luis Peydró, 2020.
"Anticipating the financial crisis: evidence from insider trading in banks,"
Economic Policy, CEPR, CESifo, Sciences Po;CES;MSH, vol. 35(102), pages 213-267.
- Akin, Ozlem & Marín, José María & Peydró, José-Luis, 2020. "Anticipating the financial crisis: Evidence from insider trading in banks," EconStor Open Access Articles and Book Chapters, ZBW - Leibniz Information Centre for Economics, vol. 35(102), pages 213-267.
- Ozlem Akin & José M. Marín & José-Luis Peydró, 2016. "Anticipating the Financial Crisis: Evidence from Insider Trading in Banks," Working Papers 906, Barcelona School of Economics.
- Peydró, José-Luis & Akin, Ozlem & MarÃn, José M, 2020. "Anticipating the Financial Crisis: Evidence from Insider Trading in Banks," CEPR Discussion Papers 11302, C.E.P.R. Discussion Papers.
- Akin, Ozlem & Marín, J.M. & Peydró, José-Luis, 2019. "Anticipating the Financial Crisis: Evidence from Insider Trading in Banks," EconStor Preprints 216803, ZBW - Leibniz Information Centre for Economics.
- Ozlem Akin & José M. Marín & José-Luis Peydró, 2016. "Anticipating the financial crisis: Evidence from insider trading in banks," Economics Working Papers 1524, Department of Economics and Business, Universitat Pompeu Fabra.
- Erik E. Lehmann & Michele Meoli & Stefano Paleari & Sarah A. E. Stockinger, 2018.
"Approaching effects of the economic crisis on university efficiency: a comparative study of Germany and Italy,"
Eurasian Business Review, Springer;Eurasia Business and Economics Society, vol. 8(1), pages 37-54, March.
- Lehmann, Erik E. & Meoli, Michele & Paleari, Stefano & Stockinger, Sarah A. E., 2016. "Approaching effects of the economic crisis on university efficiency: A comparative study of Germany and Italy," UO Working Papers 01-16, University of Augsburg, Chair of Management and Organization.
- Lehmann, Erik E. & Meoli, Michele & Paleari, Stefano & Stockinger, Sarah A. E., 2017. "Approaching effects of the economic crisis on university efficiency: A comparative study of Germany and Italy," UO Working Papers 08-17, University of Augsburg, Chair of Management and Organization.
- Ahmed Zemzem & Oumeima Kacem, 2014. "Risk Management, Board Characteristics and Performance in the Tunisian Lending Institutions," International Journal of Finance & Banking Studies, Center for the Strategic Studies in Business and Finance, vol. 3(1), pages 186-200, January.
- Vallascas, Francesco & Mollah, Sabur & Keasey, Kevin, 2017. "Does the impact of board independence on large bank risks change after the global financial crisis?," Journal of Corporate Finance, Elsevier, vol. 44(C), pages 149-166.
- Shen, Chung-Hua & Luo, Fuyan & Huang, Dengshi, 2015. "Analysis of earnings management influence on the investment efficiency of listed Chinese companies," Journal of Empirical Finance, Elsevier, vol. 34(C), pages 60-78.
- Shamsun Nahar & Mohammad Istiaq Azim & Md Moazzem Hossain, 2020. "Risk disclosure and risk governance characteristics: evidence from a developing economy," International Journal of Accounting & Information Management, Emerald Group Publishing Limited, vol. 28(4), pages 577-605, April.
- Haelim Anderson & Michael Carabello & Troy Kravitz, 2022. "Retrospective on Twenty Years of the FDIC-JFSR Bank Research Conference," Journal of Financial Services Research, Springer;Western Finance Association, vol. 61(1), pages 1-41, February.
- Enikolopov, Ruben & Petrova, Maria & Stepanov, Sergey, 2014.
"Firm value in crisis: Effects of firm-level transparency and country-level institutions,"
Journal of Banking & Finance, Elsevier, vol. 46(C), pages 72-84.
- Ruben Enikolopov & Maria Petrova & Sergey Stepanov, 2012. "Firm Value in Crisis: Effects of Firm-Level Transparency and Country-Level Institutions," Working Papers w0184, Center for Economic and Financial Research (CEFIR).
- Ruben Enikolopov & Maria Petrova & Sergey Stepanov, 2012. "Firm Value in Crisis: Effects of Firm-Level Transparency and Country-Level Institutions," Working Papers w0184, New Economic School (NES).
- Oh, Seungjoon & Ding, Keli & Park, Heungju, 2021. "Cross-listing, foreign independent directors and firm value," Journal of Business Research, Elsevier, vol. 136(C), pages 695-708.
- Natasha Sarin & Lawrence H. Summers, 2016. "Understanding Bank Risk through Market Measures," Brookings Papers on Economic Activity, Economic Studies Program, The Brookings Institution, vol. 47(2 (Fall)), pages 57-127.
- Catarina Fernandes & Jorge Farinha & Francisco Vitorino Martins & Cesario Mateus, 2018. "Bank governance and performance: a survey of the literature," Journal of Banking Regulation, Palgrave Macmillan, vol. 19(3), pages 236-256, July.
- Goergen, Marc & Limbach, Peter & Scholz, Meik, 2015. "Mind the gap: The age dissimilarity between the chair and the CEO," Journal of Corporate Finance, Elsevier, vol. 35(C), pages 136-158.
- Mollah, Sabur & Zaman, Mahbub, 2015. "Shari’ah supervision, corporate governance and performance: Conventional vs. Islamic banks," Journal of Banking & Finance, Elsevier, vol. 58(C), pages 418-435.
- Luca Bellardini & Pierluigi Murro & Daniele Previtali, 2019. "The Risk Weighted Ownership Index: an ex-ante measure of banks' risk and performance," Working Papers CASMEF 1904, Dipartimento di Economia e Finanza, LUISS Guido Carli.
- Tut, Daniel, 2024. "External financing, corporate governance and the value of cash holdings," International Review of Economics & Finance, Elsevier, vol. 91(C), pages 156-179.
- Shen, Chung-Hua & Lin, Chih-Yung, 2015. "Betting on presidential elections: Should we buy stocks connected with the winning party?," The Quarterly Review of Economics and Finance, Elsevier, vol. 56(C), pages 98-109.
- Díaz, Violeta & Huang, Ying, 2017. "The role of governance on bank liquidity creation," Journal of Banking & Finance, Elsevier, vol. 77(C), pages 137-156.
- Chaivisuttangkun, Sirithida & Jiraporn, Pornsit, 2021. "The effect of co-opted directors on firm risk during a stressful time: Evidence from the financial crisis," Finance Research Letters, Elsevier, vol. 39(C).
- Chen, Zhongdong & Craig, Karen Ann & Karpovics, Mikhael, 2020. "Once bitten twice shy? Evidence from the U.S. banking industry during the crash of the energy market," Energy Economics, Elsevier, vol. 92(C).
- Khoo, Joye & Zheng, Chen & Pathan, Shams, 2024. "The beneficial effect of common ownership: Evidence from bank liquidity creation," Journal of Banking & Finance, Elsevier, vol. 163(C).
- Julian Kolm & Christian Laux & Gyöngyi Lóránth, 2017. "Bank Regulation, CEO Compensation, and Boards," Review of Finance, European Finance Association, vol. 21(5), pages 1901-1932.
- Słomka-Gołębiowska, Agnieszka & Urbanek, Piotr, 2016. "Corporate boards, large blockholders and executive compensation in banks: Evidence from Poland," Emerging Markets Review, Elsevier, vol. 28(C), pages 203-220.
- Merendino, Alessandro & Sarens, Gerrit, 2020. "Crisis? What crisis? Exploring the cognitive constraints on boards of directors in times of uncertainty," Journal of Business Research, Elsevier, vol. 118(C), pages 415-430.
- Tianyi Ma & Minghui Jiang & Xuchuan Yuan, 2019. "Pay Me Later is Not Always Positively Associated with Bank Risk Reduction—From the Perspective of Long-Term Compensation and Black Box Effect," Sustainability, MDPI, vol. 12(1), pages 1-26, December.
- Brogi, Marina & Lagasio, Valentina, 2022. "Better safe than sorry. Bank corporate governance, risk-taking, and performance," Finance Research Letters, Elsevier, vol. 44(C).
- Díez-Esteban, José María & García-Gómez, Conrado Diego & López-Iturriaga, Félix Javier & Santamaría-Mariscal, Marcos, 2017. "Corporate risk-taking, returns and the nature of major shareholders: Evidence from prospect theory," Research in International Business and Finance, Elsevier, vol. 42(C), pages 900-911.
- Li Cui & Pamela Kent & Sujin Kim & Shan Li, 2021. "Accounting conservatism and firm performance during the COVID‐19 pandemic," Accounting and Finance, Accounting and Finance Association of Australia and New Zealand, vol. 61(4), pages 5543-5579, December.
- Osman Yukselturk & Jon Tucker, 2015. "The impact of analyst sentiment on UK stock recommendations and target prices," Accounting and Business Research, Taylor & Francis Journals, vol. 45(6-7), pages 869-904, December.
- Maxwell Sandada & Nigel Manzanga & Roy Shamhuyenhanzva, 2015. "How Do Board Characteristics Influence Business Performance? Evidence from Non-life Insurance Firms in Zimbabwe," Acta Universitatis Danubius. OEconomica, Danubius University of Galati, issue 11(4), pages 103-116, August.
- Diana Zigraiova, 2015.
"Management Board Composition of Banking Institutions and Bank Risk-Taking: The Case of the Czech Republic,"
Working Papers
2015/14, Czech National Bank.
- Diana Zigraiova, 2016. "NManagement Board Composition of Banking Institutions and Bank Risk-Taking: The Case of the Czech Republic," Working Papers IES 2016/02, Charles University Prague, Faculty of Social Sciences, Institute of Economic Studies, revised Jan 2016.
- Panagiota Papadimitri & Ansgar Wohlschlegel, 2019. "Lobbying, Regulatory Enforcement and Corporate Governance: Theory and Evidence from Regulatory Enforcement Actions against US Banks," Working Papers in Economics & Finance 2019-08, University of Portsmouth, Portsmouth Business School, Economics and Finance Subject Group.
- Ferreira, Daniel & Kershaw, David & Kirchmaier, Tom & Schuster, Edmund, 2021.
"Management insulation and bank failures,"
Journal of Financial Intermediation, Elsevier, vol. 47(C).
- Ferreira, Daniel & Kershaw, David & Kirchmaier, Tom & Schuster, Edmund, 2021. "Management insulation and bank failures," LSE Research Online Documents on Economics 110428, London School of Economics and Political Science, LSE Library.
- Andries, Alin Marius & Brown, Martin, 2014. "Credit Booms and Busts in Emerging Markets: The Role of Bank Governance and Risk Managment," Working Papers on Finance 1414, University of St. Gallen, School of Finance.
- Lee, Chien-Chiang & Lin, Chun-Wei & Zeng, Jhih-Hong, 2016. "Financial liberalization, insurance market, and the likelihood of financial crises," Journal of International Money and Finance, Elsevier, vol. 62(C), pages 25-51.
- Kabir, Md Nurul & Miah, Mohammad Dulal & Ali, Searat & Sharma, Parmendra, 2020. "Institutional and foreign ownership vis-à-vis default risk: Evidence from Japanese firms," International Review of Economics & Finance, Elsevier, vol. 69(C), pages 469-493.
- Minhas Akbar & Ahsan Akbar & Muhammad Umar Draz, 2021. "Global Financial Crisis, Working Capital Management, and Firm Performance: Evidence From an Islamic Market Index," SAGE Open, , vol. 11(2), pages 21582440211, May.
- Yu, Mei & Ashton, John K., 2015. "Board leadership structure for Chinese public listed companies," China Economic Review, Elsevier, vol. 34(C), pages 236-248.
- Mollah, Sabur & Liljeblom, Eva & Mobarek, Asma, 2021. "Heterogeneity in independent non-executive directors' attributes and risk-taking in large banks," Journal of Corporate Finance, Elsevier, vol. 70(C).
- Jayati Sarkar & Subrata Sarkar, 2018.
"Bank Ownership, Board Characteristics and Performance: Evidence from Commercial Banks in India,"
IJFS, MDPI, vol. 6(1), pages 1-30, February.
- Jayati Sarkar & Subrata Sarkar, 2016. "Bank ownership, board characteristics and performance: Evidence from commercial banks in India," Indira Gandhi Institute of Development Research, Mumbai Working Papers 2016-016, Indira Gandhi Institute of Development Research, Mumbai, India.
- Jayati Sarkar & Subrata Sarkar, 2016. "Bank Ownership, Board Characteristics and Performance: Evidence from Commercial Banks in India," Working Papers id:11055, eSocialSciences.
- Bakar, Intan Suryani Abu & Khan, Arifur & Mather, Paul & Tanewski, George, 2018. "Corporate boards and performance pricing in private debt contracts," Pacific-Basin Finance Journal, Elsevier, vol. 50(C), pages 144-162.
- Rui Li & Wei Liu & Yong Liu & Sang-Bing Tsai, 2018. "IPO Underpricing After the 2008 Financial Crisis: A Study of the Chinese Stock Markets," Sustainability, MDPI, vol. 10(8), pages 1-13, August.
- Valeriya Dinger & Francesco Vallascas, 2014. "Are Banks Less Likely to Issue Equity When They Are Less Capitalized?," IEER Working Papers 100, Institute of Empirical Economic Research, Osnabrueck University.
- Carney, Richard W. & Child, Travers Barclay & Li, Xiang, 2020. "Board connections and crisis performance: Family, state, and political networks," Journal of Corporate Finance, Elsevier, vol. 64(C).
- Zhang, Xing & Li, Fengchao & Ortiz, Jaime, 2021. "Internal risk governance and external capital regulation affecting bank risk-taking and performance: Evidence from P.R. China," International Review of Economics & Finance, Elsevier, vol. 74(C), pages 276-292.
- Chen, Zhongdong & Ebrahim, Alireza, 2018. "Turnover threat and CEO risk-taking behavior in the banking industry," Journal of Banking & Finance, Elsevier, vol. 96(C), pages 87-105.
- Kutlu, Levent & Nair-Reichert, Usha, 2022. "Executive compensation and the potential for additional efficiency gains: Evidence from the Indian manufacturing sector," Economic Modelling, Elsevier, vol. 114(C).
- Uri Ben Zion & Garen Markarian, 2018. "Board Size, Crisis, and Firm Performance: Evidence from Banks," International Journal of Economics and Finance, Canadian Center of Science and Education, vol. 10(4), pages 33-50, April.
- Hasan, Mostafa Monzur & Cheung, Adrian (Wai Kong) & Taylor, Grantley, 2020. "Financial statement comparability and bank risk-taking," Journal of Contemporary Accounting and Economics, Elsevier, vol. 16(3).
- Kolasinski, Adam C. & Yang, Nan, 2018. "Managerial myopia and the mortgage meltdown," Journal of Financial Economics, Elsevier, vol. 128(3), pages 466-485.
- Martin Herdegen & Nazem Khan, 2020. "Mean-$\rho$ portfolio selection and $\rho$-arbitrage for coherent risk measures," Papers 2009.05498, arXiv.org, revised Jul 2021.
- Laura Chiaramonte & (Frank) Hong Liu & Federica Poli & Mingming Zhou, 2016. "How Accurately Can Z‐score Predict Bank Failure?," Financial Markets, Institutions & Instruments, John Wiley & Sons, vol. 25(5), pages 333-360, December.
- Akbar, Saeed & Kharabsheh, Buthiena & Poletti-Hughes, Jannine & Shah, Syed Zulfiqar Ali, 2017. "Board structure and corporate risk taking in the UK financial sector," International Review of Financial Analysis, Elsevier, vol. 50(C), pages 101-110.
- Jagjeevan Kanoujiya & Venkata Mrudula Bhimavarapu & Shailesh Rastogi, 2023. "Banks in India: A Balancing Act Between Profitability, Regulation and NPA," Vision, , vol. 27(5), pages 650-660, November.
- Iqbal, Jamshed & Strobl, Sascha & Vähämaa, Sami, 2015. "Corporate governance and the systemic risk of financial institutions," Journal of Economics and Business, Elsevier, vol. 82(C), pages 42-61.
- Hsin-Hui Chiu & Eva Wagner, 2020. "CEO Bonus Pay and Firm Credit Risk," International Journal of Risk and Contingency Management (IJRCM), IGI Global, vol. 9(1), pages 1-19, January.
- Laura Baselga-Pascual & Antonio Trujillo-Ponce & Emilia Vähämaa & Sami Vähämaa, 2018. "Ethical Reputation of Financial Institutions: Do Board Characteristics Matter?," Journal of Business Ethics, Springer, vol. 148(3), pages 489-510, March.
- Kyunga Na & Young-Hee Kang & Yang Sok Kim, 2018. "The Effect of Corporate Governance on the Corruption of Firms in BRICs (Brazil, Russia, India & China)," Social Sciences, MDPI, vol. 7(6), pages 1-16, May.
- Mollah, Sabur & Skully, Michael & Liljeblom, Eva, 2021.
"Strong Boards and Risk-taking in Islamic Banks,"
Review of Corporate Finance, now publishers, vol. 1(1-2), pages 135-180, April.
- Sabur Mollah & Michael Skully & Eva Liljeblom, 2018. "Strong Boards and Risk-taking in Islamic Banks," Working Papers 2018-08, Swansea University, School of Management.
- Bui, Dien Giau & Fang, Yiwei & Lin, Chih-Yung, 2018. "The influence of risk culture on firm returns in times of crisis," International Review of Economics & Finance, Elsevier, vol. 57(C), pages 291-306.
- Shailesh Rastogi & Rajani Gupte & R. Meenakshi, 2021. "A Holistic Perspective on Bank Performance Using Regulation, Profitability, and Risk-Taking with a View on Ownership Concentration," JRFM, MDPI, vol. 14(3), pages 1-22, March.
- Nuttavuth Nundhapana & Chiraphol N. Chiyachantana & David K. Ding & Sirimon Treepongkaruna, 2024. "Social network centrality and the corporate environment: The case of sexual diversity policies," Corporate Social Responsibility and Environmental Management, John Wiley & Sons, vol. 31(5), pages 4085-4100, September.
- Zhou, Yifan & Kara, Alper & Molyneux, Philip, 2019. "Chair-CEO generation gap and bank risk-taking," The British Accounting Review, Elsevier, vol. 51(4), pages 352-372.
- Farag, Hisham & Mallin, Chris, 2017. "Board diversity and financial fragility: Evidence from European banks," International Review of Financial Analysis, Elsevier, vol. 49(C), pages 98-112.
- Yosi Borochov & Boris A. Portnov, 2021. "Estimating Environmentally Adjusted Risks of Mortgage Arrears for Different Socioeconomic Groups of Borrowers," European Research Studies Journal, European Research Studies Journal, vol. 0(2), pages 595-620.
- Dorota Skała, 2018. "Shareholder power and income smoothing in Central European banks," Collegium of Economic Analysis Annals, Warsaw School of Economics, Collegium of Economic Analysis, issue 53, pages 117-130.
- René M. Stulz, 2022. "Risk‐Taking and Risk Management by Banks," Journal of Applied Corporate Finance, Morgan Stanley, vol. 34(1), pages 95-105, March.
- Nizam, Esma & Ng, Adam & Dewandaru, Ginanjar & Nagayev, Ruslan & Nkoba, Malik Abdulrahman, 2019. "The impact of social and environmental sustainability on financial performance: A global analysis of the banking sector," Journal of Multinational Financial Management, Elsevier, vol. 49(C), pages 35-53.
- Li, Zhimin & Cheng, Lei, 2020. "What do private firms do after losing political capital? Evidence from China," Journal of Corporate Finance, Elsevier, vol. 60(C).
- Ilham Hidayah Napitupulu & Anggiat Situngkir & Ferry Hendro Basuki & Widyo Nugroho, 2023. "Optimizing good Corporate Governance Mechanism to Improve Performance: Case in Indonesia’s Manufacturing Companies," Global Business Review, International Management Institute, vol. 24(6), pages 1205-1226, December.
- Carlos Arteta & Mark Carey & Ricardo Correa & Jason Kotter, 2020.
"Revenge of the Steamroller: ABCP as a Window on Risk Choices,"
Review of Finance, European Finance Association, vol. 24(3), pages 497-528.
- Carlos Arteta & Mark S. Carey & Ricardo Correa & Jason Kotter, 2013. "Revenge of the steamroller: ABCP as a window on risk choices," International Finance Discussion Papers 1076, Board of Governors of the Federal Reserve System (U.S.).
- Ichiro Iwasaki & Byung-Yeon Kim, 2020.
"Legal forms, organizational architecture, and firm failure: a large survival analysis of Russian corporations,"
European Journal of Law and Economics, Springer, vol. 49(2), pages 227-275, April.
- Iwasaki, Ichiro & 岩崎, 一郎 & Kim, Byung-Yeon, 2020. "Legal forms, organizational architecture, and firm failure: A large survival analysis of Russian corporations," CEI Working Paper Series 2020-1, Center for Economic Institutions, Institute of Economic Research, Hitotsubashi University.
- Anginer, D. & Demirguc-Kunt, Asli & Huizinga, H.P. & Ma, K., 2014.
"Corporate Governance and Bank Insolvency Risk : International Evidence,"
Other publications TiSEM
3da1df9f-1cbe-4a14-91be-f, Tilburg University, School of Economics and Management.
- Huizinga, Harry & Demirgüç-Kunt, Asli & Ma, Kebin & Anginer, Deniz, 2014. "Corporate Governance and Bank Insolvency Risk: International Evidence," CEPR Discussion Papers 10185, C.E.P.R. Discussion Papers.
- Anginer, D. & Demirguc-Kunt, Asli & Huizinga, H.P. & Ma, K., 2014. "Corporate Governance and Bank Insolvency Risk : International Evidence," Discussion Paper 2014-053, Tilburg University, Center for Economic Research.
- Anginer, Deniz & Demirguc-Kunt, Asli & Huizinga, Harry & Ma, Kebin, 2014. "Corporate governance and bank insolvency risk : international evidence," Policy Research Working Paper Series 7017, The World Bank.
- Anginer, D. & Demirguc-Kunt, A. & Huizinga, H.P. & Ma, K., 2014. "Corporate Governance and Bank Insolvency Risk : International Evidence," Other publications TiSEM eaa7fe1c-5eb5-4c02-9508-8, Tilburg University, School of Economics and Management.
- Maria Teresa Medeiros Garcia & Ana Jin Ye, 2023.
"Risk-taking by banks: evidence from European Union countries,"
China Finance Review International, Emerald Group Publishing Limited, vol. 13(4), pages 537-567, August.
- Maria Teresa Medeiros Garcia & Ana Jin Ye, 2022. "Risk-taking by banks: Evidence from European Union countries," Working Papers REM 2022/0225, ISEG - Lisbon School of Economics and Management, REM, Universidade de Lisboa.
- Galletta, Simona & Mazzù, Sebastiano & Scannella, Enzo, 2021. "Risk committee complexity and liquidity risk in the European banking industry," Journal of Economic Behavior & Organization, Elsevier, vol. 192(C), pages 691-703.
- Cardillo, Giovanni & Onali, Enrico & Torluccio, Giuseppe, 2021. "Does gender diversity on banks' boards matter? Evidence from public bailouts," Journal of Corporate Finance, Elsevier, vol. 71(C).
- Bui, Dien Giau & Hasan, Iftekhar & Lin, Chih-Yung & Nguyen, Hong Thoa, 2023. "Short-selling threats and bank risk-taking: Evidence from the financial crisis," Journal of Banking & Finance, Elsevier, vol. 150(C).
- Showkat Ahmad Busru & G. Shanmugasundaram & Shariq Ahmad Bhat, 2020. "Corporate Governance an Imperative for Stakeholders Protection: Evidence from Risk Management of Indian Listed Firms," Business Perspectives and Research, , vol. 8(2), pages 89-116, July.
- Sumaira Ashraf & Elisabete G. S. Félix & Zélia Serrasqueiro, 2022. "Does board committee independence affect financial distress likelihood? A comparison of China with the UK," Asia Pacific Journal of Management, Springer, vol. 39(2), pages 723-761, June.
- Mavrakana, Christina & Psillaki, Maria, 2019. "Do board structure and compensation matter for bank stability and bank performance? Evidence from European banks," MPRA Paper 95776, University Library of Munich, Germany.
- Altunbas, Yener & Manganelli, Simone & Marques-Ibanez, David, 2017.
"Realized bank risk during the great recession,"
Journal of Financial Intermediation, Elsevier, vol. 32(C), pages 29-44.
- Yener Altunbas & Simone Manganelli & David Marques-Ibanez, 2015. "Realized Bank Risk during the Great Recession," International Finance Discussion Papers 1140, Board of Governors of the Federal Reserve System (U.S.).
- Alin Marius ANDRIES & Vasile COCRIS & Silviu Gabriel URSU, 2012. "Determinants Of Bank Performance In Cee Countries," Review of Economic and Business Studies, Alexandru Ioan Cuza University, Faculty of Economics and Business Administration, issue 10, pages 165-177, December.
- Kuzmina, Olga & Melentyeva, Valentina, 2020.
"Gender diversity in corporate boards: Evidence from quota-implied discontinuities,"
CEPR Discussion Papers
14942, C.E.P.R. Discussion Papers.
- Kuzmina, Olga & Melentyeva, Valentina, 2021. "Gender diversity in corporate boards: Evidence from quota-implied discontinuities," ZEW Discussion Papers 21-023, ZEW - Leibniz Centre for European Economic Research.
- Olga Kuzmina & Valentina Melentyeva, 2021. "Gender diversity in corporate boards: Evidence from quota-implied discontinuities," Working Papers w0282, New Economic School (NES).
- Jin, Justin Yiqiang & Kanagaretnam, Kiridaran & Lobo, Gerald J. & Mathieu, Robert, 2013. "Impact of FDICIA internal controls on bank risk taking," Journal of Banking & Finance, Elsevier, vol. 37(2), pages 614-624.
- Balachandran, Balasingham & Faff, Robert, 2015. "Corporate governance, firm value and risk: Past, present, and future," Pacific-Basin Finance Journal, Elsevier, vol. 35(PA), pages 1-12.
- Mahroo Irani & Mahroo Irani & Mehdi Safari Gerayeli, 2017. "Relationship between Corporate Governance and CEO Compensation among Listed Firms in Tehran Stock Exchange," International Journal of Economics and Financial Issues, Econjournals, vol. 7(1), pages 285-292.
- Mollah, Sabur & Liljeblom, Eva, 2016. "Governance and bank characteristics in the credit and sovereign debt crises – the impact of CEO power11We are grateful to the Editor, Prof. Iftekhar Hasan and three anonymous referees for valuable com," Journal of Financial Stability, Elsevier, vol. 27(C), pages 59-73.
- Kemal Bagzibagli, 2014.
"Monetary transmission mechanism and time variation in the Euro area,"
Empirical Economics, Springer, vol. 47(3), pages 781-823, November.
- Kemal Bagzibagli, 2012. "Monetary Transmission Mechanism and Time Variation in the Euro Area," Discussion Papers 12-12, Department of Economics, University of Birmingham.
- Gilani, Usman & Keasey, Kevin & Vallascas, Francesco, 2021. "Board financial expertise and the capital decisions of US banks," Journal of Corporate Finance, Elsevier, vol. 71(C).
- Badar Alshabibi, 2021. "The Role of Institutional Investors in Improving Board of Director Attributes around the World," JRFM, MDPI, vol. 14(4), pages 1-33, April.
- Dupire, Marion & Slagmulder, Regine, 2019. "Risk governance of financial institutions: The effect of ownership structure and board independence," Finance Research Letters, Elsevier, vol. 28(C), pages 227-237.
- Nicholas Apergis, 2020. "Financial market imperfections and profitability: New evidence from a large panel of US SME firms," Journal of Forecasting, John Wiley & Sons, Ltd., vol. 39(2), pages 220-241, March.
- Battaglia, Francesca & Gallo, Angela, 2017. "Strong boards, ownership concentration and EU banks’ systemic risk-taking: Evidence from the financial crisis," Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 46(C), pages 128-146.
- Yener Altunbaş & John Thornton & Yurtsev Uymaz, 2021.
"Money laundering and bank risk: Evidence from U.S. banks,"
International Journal of Finance & Economics, John Wiley & Sons, Ltd., vol. 26(4), pages 4879-4894, October.
- Yener Altunbaş & John Thornton & Yurtsev Uymaz, 2019. "Money laundering and bank risk: evidence from US banks," Working Papers 19005, Bangor Business School, Prifysgol Bangor University (Cymru / Wales).
- Jimi Siekkinen, 2017. "Board characteristics and the value relevance of fair values," Journal of Management & Governance, Springer;Accademia Italiana di Economia Aziendale (AIDEA), vol. 21(2), pages 435-471, June.
- Saghi-Zedek, Nadia & Tarazi, Amine, 2015.
"Excess control rights, financial crisis and bank profitability and risk,"
Journal of Banking & Finance, Elsevier, vol. 55(C), pages 361-379.
- Amine Tarazi & Nadia Zedek, 2013. "Excess Control Rights, Financial Crisis and Bank Profitability and Risk," Working Papers hal-00916550, HAL.
- Amine Tarazi & Nadia Zedek, 2015. "Excess Control Rights, Financial Crisis and Bank Profitability and Risk," Post-Print hal-01134839, HAL.
- Reddy, Kotapati Srinivasa, 2015. "The impact of the global financial crisis on border-crossing mergers and acquisitions: A continental/industry analysis," MPRA Paper 63563, University Library of Munich, Germany, revised 2015.
- Srivastav, Abhishek & Keasey, Kevin & Mollah, Sabur & Vallascas, Francesco, 2017. "CEO turnover in large banks: Does tail risk matter?," Journal of Accounting and Economics, Elsevier, vol. 64(1), pages 37-55.
- Hojer, A. & Mataigne, V., 2024. "CSR in the banking industry: A longitudinal analysis of the impact on financial performance and risk-taking," Finance Research Letters, Elsevier, vol. 64(C).
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