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1-9 of 9
Keywords: Risk-taking
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Journal Articles
Journal of Financial Regulation and Compliance (2025) 33 (1): 48–66.
Published: 02 December 2024
...Dieu Tran; Truc Nguyen Purpose This paper aims to investigate the impact of capital buffer on risk-taking in the Vietnam banking sector as well as examine the moderating role of capital regulation based on Basel II standards and shadow banking on this correlation. Design/methodology/approach...
Journal Articles
Journal of Financial Regulation and Compliance (2024) 32 (5): 684–698.
Published: 01 October 2024
...Phan Dinh Nguyen Purpose This paper aims to examine the impact of bank liquidity, monetary policy and global crises on bank risk-taking behavior of Vietnamese banks. It provides evidence for a risk-taking channel of monetary policy through bank liquidity and global crises. Design/methodology...
Journal Articles
Journal of Financial Regulation and Compliance (2022) 30 (1): 25–42.
Published: 10 October 2021
... with the existing literature, this study shows that the direction of the wealth transfer at the conversion of CoCo bonds determines their impact on shareholder risk-taking incentives. This study also finds that “anytime” CoCos (CoCo bonds trigger-able anytime at the discretion of managers) have a minor advantage...
Journal Articles
Journal of Financial Regulation and Compliance (2021) 29 (4): 387–408.
Published: 07 August 2021
... rights only India Basel III Banking Bank regulation Systemic risk Risk-taking SRISK Systemically important banks GJR-GARCH-DCC B41 D81 E58 G01 G21 The global financial crisis (GFC) demonstrated the magnitude and the speed with which the financial losses of one institution...
Journal Articles
Journal of Financial Regulation and Compliance (2021) 29 (1): 79–103.
Published: 09 July 2020
...Abu Hanifa Md. Noman; Che Ruhana Isa; Md Aslam Mia; Chan Sok-Gee Purpose This study aims to examine the impact of activity restrictions in shaping the risk-taking behaviour of banks through the channel of competition in different economic conditions. Design/methodology/approach The authors use...
Journal Articles
Journal of Financial Regulation and Compliance (2019) 27 (1): 43–69.
Published: 10 January 2019
...Syed Moudud-Ul-Huq Purpose This paper aims to empirically investigate the impact of bank diversification on performance and risk-taking behavior. The analysis uses an unbalanced panel data set covering the period between 2007 and 2015 for a total of 1,397 banks from ASEAN-5 and BRICS economies...
Journal Articles
Journal of Financial Regulation and Compliance (2018) 26 (1): 170–186.
Published: 12 February 2018
...Jinyi Zhang; Hai Jiang Purpose The purpose of this paper is to identify the effect of induced capital regulatory pressure on banks’ charter value and risk-taking, and the influence of bank’s charter value on its risk-taking under such a capital regulatory pressure. Design/methodology/approach...
Journal Articles
Journal of Financial Regulation and Compliance (2016) 24 (1): 24–40.
Published: 08 February 2016
... regulation and supervision consists in enhancing profitability and decreasing risk-taking. Buch et al. (2008) , using the database compiled by Barth et al. (2001) , find that supervisory systems influence the total risk of cross-bank mergers. They conclude that the impact of banking...
Journal Articles
Journal of Financial Regulation and Compliance (2012) 20 (4): 433–450.
Published: 09 November 2012
...Isaac Ofoeda; Joshua Abor; Charles K.D. Adjasi Purpose The purpose of this study is to examine the relationship between regulation of non‐bank financial institutions and their risk‐taking behaviours in Ghana. Design/methodology/approach The analysis is performed using data derived from...
