Open AccessDissertation
Corporate Governance, Risk Management, and Bank Performance in the GCC Banking Sector
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The article was published on 2016-01-01 and is currently open access. It has received 13 citations till now. The article focuses on the topics: Corporate governance & Risk management.read more
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Corporate Governance and Performance of BankingFirms: Evidence from Asian Emerging Markets.
TL;DR: In this paper, the authors analyzed the corporate governance of listed banking firms in nine Asian emerging markets and found that there are differences in the monitoring mechanisms of banking firms and non-bank firms.
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Introduction to multivariate analysis, by C. Chatfield and A. J. Collins. Pp 246. £13 hardcover, £7·50 paperback. 1980. ISBN 0-412-16030-7/4 (Chapman and Hall)
TL;DR: In this paper, the multivariate normal distribution is used for principal component analysis and multivariate analysis of covariance and related topics, as well as multi-dimensional scaling and cluster analysis.
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Board Composition, Corporate Performance, and the Cadbury Committee Recommendation
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Corporate Governance, Regulation and Bank Risk-Taking Behaviour in Developing Asian Countries
TL;DR: In this article, the authors investigated the influence of corporate governance and regulations on bank risk-taking behavior and found sufficient evidence that corporate governance mechanism has strong effect on the level of risk taken by bank: bank with large owner(s) is associated with higher risk taking, while board size is negatively related to bank risk level.
References
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Posted Content
Determinants of profitability of domestic UK commercial banks: panel evidence from the period 1995-2002
Posted Content
The GCC Banking Sector: Topography and Analysis
TL;DR: In this paper, the authors analyzed the evolution of the Gulf Cooperation Council (GCC) banking sectors in the six member countries including ownership, concentration, cross-border linkages, balance sheet exposures and risks, recent trends in credit growth, and financial soundness.
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Corporate governance and performance of financial institutions
Andrey Zagorchev,Lei Gao +1 more
TL;DR: In this paper, the authors examine how corporate governance affects financial institutions in the U.S. between 2002 and 2009 and find that better governance is negatively related to excessive risk-taking and positively related to the performance of U. S. financial institutions.
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Determinants of capital adequacy ratio in Turkish Banks: A panel data analysis
TL;DR: In this article, the determinants of Turkish banks' capital adequacy ratio and its effects on financial positions of banks covered by the study were investigated, and the results of the paper indicate that LOA, return on equity and LEV have a negative effect on CAR, while LLR and return on assets positively influence CAR.