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Keywords: European banks
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Journal Articles
Journal of Financial Regulation and Compliance (2016) 24 (1): 24–40.
Published: 08 February 2016
...Houssem Rachdi; Faten Ben Bouheni Purpose – This paper aims to present an analysis of how regulatory and supervisory policies affect risk-performance nexus. Design/methodology/approach – Empirically, on a sample of 60 large European banks over the period 2005-2011, the authors explore...
Journal Articles
Journal of Financial Regulation and Compliance (2013) 21 (4): 373–396.
Published: 11 November 2013
.../value – The added value of the analysis is related to the implementation of an “effectiveness remuneration committee rating” applied to a sample of top European banks during the financial crisis. © Emerald Group Publishing Limited 2013 The paper is organized as follows. Section 2 analyzes...
Journal Articles
Journal of Financial Regulation and Compliance (2013) 21 (2): 108–120.
Published: 03 May 2013
... for a bank's stock price, beyond that provided by loan book values. Design/methodology/approach The value relevance of 83 European banks from 2005‐2008 is analyzed. The authors employ a regression model in which the stock price (dependent variable) is related to accounting variables typically affecting...
