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Keywords: G20
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Journal Articles
Market discipline and bank risk through new regulations: evidence from Asia–Pacific
Available to Purchase
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2022) 23 (5): 498–515.
Published: 10 October 2022
... on Basel III's third pillar, market discipline in Asia–Pacific banks. Figure 1 Comparison of governance indicators in the Asia–Pacific region in 2019 D40 E43 G20 Economists and bank managers are increasingly concerned with market forces and favor the greater involvement...
Journal Articles
How does human capital efficiency impact credit risk?: the case of commercial banks in the GCC
Available to Purchase
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2022) 23 (5): 639–651.
Published: 26 September 2022
... of default G20 G21 J24 An effective human resource and resulting intellectual capital contributes toward the efficiency and capabilities of a firm to remain competitive, sustain market share and create value (Lopez-Cabrales et al., 2006). This significance increases manifold...
Journal Articles
Does the market discipline banks? Evidence from Balkan states
Available to Purchase
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2022) 23 (4): 418–436.
Published: 03 June 2022
... 2022 © Emerald Publishing Limited 2022 Emerald Publishing Limited Licensed re-use rights only CAMEL Market discipline Deposit switching Cost of funds Risk management Basel II G20 G21 G28 With a rich history and strategic geographic location, the Balkan states...
Journal Articles
Trading activity on social trading platforms – a behavioral approach*
Available to Purchase
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2022) 23 (1): 32–54.
Published: 03 January 2022
... Emerald Publishing Limited Licensed re-use rights only Social trading platforms Overconfidence Social interaction Individual trading behavior Behavioral finance G14 G20 G41 Pan et al. (2012) and Gemayel (2016) provide evidence for a certain level of wisdom...
Journal Articles
The impact of spillover effects from operational risk events: a model from a portfolio perspective
Available to Purchase
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2019) 20 (2): 176–200.
Published: 20 June 2019
... Reputation risk Operational risk Accumulation risk G20 G21 G22 G32 As empirically observed by Cummins et al. (2012) in an event study of the US banking and insurance industry, large operational-loss events of more than $50m in an announcing firm on average led...
Journal Articles
RiskTRACK: the five-factor model for measuring risk tolerance
Available to Purchase
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2016) 17 (4): 428–445.
Published: 15 August 2016
... management Factor analysis Risk tolerance G11 G20 In light of recent volatility in financial markets and investor confidence in those financial markets, it has become increasingly imperative for financial advisors to understand their clients’ risk tolerance. Risk tolerance is generally...
Journal Articles
Credit risk signals in CDS market vs agency ratings
Available to Purchase
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2016) 17 (2): 194–217.
Published: 21 March 2016
... 2016 Emerald Group Publishing Limited Licensed re-use rights only CDS Credit rating agencies Credit risk Credit default swap Credit ratings G10 G20 G24 G28 G32 The primary purpose of a credit default swap (CDS) contract is to provide protection to the purchaser of a debt...
Journal Articles
Securitization and Italian banks’ risk during the crisis
Available to Purchase
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2014) 15 (4): 458–478.
Published: 18 August 2014
... can be contacted at: francesca.battaglia@uniparthenope.it © Emerald Group Publishing Limited 2014 Liquidity Credit risk Securitization Italian banks Financial crisis Ordered probit models G20 G21 G28 C23 G32 G01 During the past two decades, structured finance and credit...
