[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 …
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 …
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
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 …
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 …
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
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 …
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
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 …
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?
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 …
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 …
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
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 …
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 …
satisfy themselves of the effectiveness of risk mitigation strategy and management control. It …