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bank risk taking

Corporate Governance, Capital Reserve, Non-Performing Loan, and Bank Risk Taking

Corporate Governance, Capital Reserve, Non-Performing Loan, and Bank Risk Taking

... and bank revenue ...(credit risk) on bank lending behavior which represent the bank risk ...CBZ Bank Limited using questionnaires and interview to collect data, the result show, ...

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The Nexus Between Social Capital and Bank Risk Taking

The Nexus Between Social Capital and Bank Risk Taking

... and bank risk taking across countries, and tests whether the effects of social capital become stronger in any particular ...on bank risk taking compared to the ...

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Monetary policy effects on bank risk taking  National Bank of Belgium Working Paper No  287

Monetary policy effects on bank risk taking National Bank of Belgium Working Paper No 287

... Measuring bank risk-taking behaviour There are many notions of asset ...asset risk. The former is the risk perceived by the bank when making a loan or buying an ...of risk ...

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Does branch religiosity influence bank risk taking?

Does branch religiosity influence bank risk taking?

... influence bank risk-taking. First, bank customers’ religiosity is likely to influence bank ...are risk- averse (Miller, 2000; Diaz, 2000; Miller and Hoffman, 1995) and thus, ...

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How the corporate governance mechanisms affect bank risk taking

How the corporate governance mechanisms affect bank risk taking

... the bank risk taking, meaning that banks operating in non CEO chairman duality are more risk taking than those operating in CEO chairman duality ...affects bank risk ...

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An economic analysis of bank risk taking: Stability, deposit contracts and lending relationships

An economic analysis of bank risk taking: Stability, deposit contracts and lending relationships

... or risk-adjusted deposit ...on bank risk taking behaviour under different deposit insurance ...portfolio risk and face an imperfectly elastic demand for financial ...limit risk. ...

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BANK ENVIRONMENT, BANK RISK TAKING AND RISK MANAGEMENT IN UZBEKISTAN: CASE OF SELECTED BANKS

BANK ENVIRONMENT, BANK RISK TAKING AND RISK MANAGEMENT IN UZBEKISTAN: CASE OF SELECTED BANKS

... of bank risk taking originated from deteriorating banking environment when economy was in normal phase of ...of bank risk and economic grown relations appeared in ...

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Regulations, competition and bank risk taking in transition countries

Regulations, competition and bank risk taking in transition countries

... equilibrium risk of ...the risk-taking behavior of individual ...on bank risk taking depending on the comparative market power of the ...

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Consequences of Basel Accords on Bank Risk-Taking and Profitability: Evidence from Asian Countries

Consequences of Basel Accords on Bank Risk-Taking and Profitability: Evidence from Asian Countries

... on bank profitability and risk-taking in three developing Asian countries; Philippines, Thailand and India over the period ...impact risk-taking while official supervisory power shows a ...

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Effect of Human Capital Efficiency on Bank Risk-Taking Behavior and Capital Regulation: Empirical Evidence from a Developing Country

Effect of Human Capital Efficiency on Bank Risk-Taking Behavior and Capital Regulation: Empirical Evidence from a Developing Country

... on risk-taking and capital adequacy of banks for a sample developing ...efficiency, risk and capital. Risk, capital and human capital efficiency are modeled as dependent ...efficiency, ...

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Interest rates and bank risk taking

Interest rates and bank risk taking

... the bank level lending ...on risk assets is diminished for banks with higher equity capital and is amplified for banks with higher off balance sheet items (see columns I and ...on bank risk, ...

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The effect of market power on bank risk taking in Turkey

The effect of market power on bank risk taking in Turkey

... Tables A5-A8 summarize the results of the static and dynamic empirical models. Under the static models fixed-effects, random-effects and GMM models are estimated. The first two techniques assume the market power variable ...

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An empirical examination of bank risk taking - Asian evidence

An empirical examination of bank risk taking - Asian evidence

... Figure 6.1 The Overall Framework of the Study Essay 1Chapter2 - Asian Banks 1998-2003 Capital Market Risk Measures Total return risk, Systematic risk & Non-systematic risk Accounting Ris[r] ...

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Theoretical essays on bank risk-taking and financial stability

Theoretical essays on bank risk-taking and financial stability

... while bank branches are more com- monly found in countries that have higher taxes and lower regulatory ...European bank groups and markets, they find evidence that under stricter forms of ring-fencing, ...

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Bank institutional setting and risk-taking: The missing role of directors’ education and turnover

Bank institutional setting and risk-taking: The missing role of directors’ education and turnover

... less risk than joint-stock banks, as suggested in the theoretical ...lower risk-taking is driven by the lower educational level of the directors on the ...credit risk-taking but only ...

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The Effect of Deposit Insurance on Risk Taking in Asian Banks

The Effect of Deposit Insurance on Risk Taking in Asian Banks

... and bank risk taking activity and report that design features have different effects on the different financial soundness ...on bank asset-side ...less risk before the insurance system ...

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Bank Size, Risk-taking and Capital Regulation in Bangladesh

Bank Size, Risk-taking and Capital Regulation in Bangladesh

... of bank regulation on bank risk-taking and charter ...reduce bank charter values and increase incentives for banks to increase ...the bank charter ...credit risk measured ...

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Do Capital Regulations and Risk-Taking Behavior Affect Bank Performance? Evidence from Bangladesh

Do Capital Regulations and Risk-Taking Behavior Affect Bank Performance? Evidence from Bangladesh

... the bank from taking excessive risk? Is there any bi-directional relationship between capital regulations and bank risk-taking? How bank capital regulations and ...

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The Impact of Bank Liquidity on the Lebanese Banks’ Risk Taking Behavior

The Impact of Bank Liquidity on the Lebanese Banks’ Risk Taking Behavior

... of bank liquidity on bank risk, a fixed effect model regression was conducted on a sample consisting of twenty-one Lebanese banks over a period of eight years from 2008 to ...the risk weighted ...

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CEO compensation and banks’ risk taking during pre and post financial
crisis periods

CEO compensation and banks’ risk taking during pre and post financial crisis periods

... increase risk. Harris et al. (2013) also argue that capital injections under TARP induced moral hazard behavior that resulted in the reduction of operating efficiency of the bailed out institutions. Similarly, ...

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