[HTML][HTML] Banks' risk culture and management control systems: A systematic literature review

J Kunz, M Heitz - Journal of Management Control, 2021 - Springer
Over ten years of a debate about the best ways to make banks safer have led to the
conclusion that improving their risk culture is one venue to achieve this goal. Consequently …

The relationship between bank credit risk and profitability and liquidity

MR Berríos - The International Journal of Business and Finance …, 2013 - papers.ssrn.com
This paper's objective is to study the relationship between bank credit risk and financial
performance and the contribution of risky lending to lower bank profitability and liquidity. The …

Risk-related disclosure practices in the annual reports of Portuguese credit institutions: An exploratory study

J Oliveira, LL Rodrigues, R Craig - Journal of Banking Regulation, 2011 - Springer
This study assesses the risk-related reporting practices of 190 Portuguese credit institutions
based on a content analysis of their individual annual reports for 2006. Risk-related …

Liquidity risk management: conventional versus Islamic banking system in Egypt

NS Abdel Megeid - Journal of Islamic Accounting and Business …, 2017 - emerald.com
Purpose This research aims to analyze and compare the effectiveness of liquidity risk
management of Islamic and conventional banking in Egypt to ascertain which of the two …

The relationship between credit risk management and non-performing assets of commercial banks in India

S Sharifi, A Haldar, SVDN Rao - Managerial Finance, 2019 - emerald.com
Purpose The purpose of this paper is to examine the impact of credit risk components on the
performance of credit risk management and the growth in non-performing assets (NPAs) of …

The relationship between the boards characteristics and the risk management of the Romanian banking sector

M Bunea, V Dinu - Journal of Business Economics and …, 2020 - journals.vilniustech.lt
The main objective of this research is to analyse the relationship between the board of
director'structure of the banks from the Romanian bank sector, the capital demands and the …

Corporate governance practices in the banking sector of Bangladesh: do they really matter?

S Ahmed, R Jannat, SU Ahmed - Available at SSRN 2984104, 2017 - papers.ssrn.com
A well governed institution is expected to use its resources optimally and, thus, perform more
efficiently and contribute positively to economic development of a nation. However, often, it …

Impact of credit risk management on financial performance of commercial banks of Pakistan

M Iftikhar - University of Haripur Journal of Management …, 2016 - search.proquest.com
This study is conducted to test the relationship between credit risk management and
financial performance of commercial banks of Pakistan that are listed in KSE. For this …

A comparative study of Islamic and conventional banks' risk management practices: empirical evidence from Pakistan

AA Rehman, A Benamraoui, AM Dad - Journal of Banking Regulation, 2018 - Springer
While conventional bank risk management practices are well documented in the literature,
there is limited research devoted at comparing the risk management practices of Islamic and …

Leadership, governance and the mitigation of risk: a case study

J Rooney, S Cuganesan - Managerial Auditing Journal, 2015 - emerald.com
Purpose–The purpose of this study is to examine how managers in financial institutions
satisfy themselves of the effectiveness of risk mitigation strategy and management control. It …