Tail risk and systemic risk of finance and technology (FinTech) firms
Technology firms are increasingly moving to finance. They are able to make use of a large
stock of user data and offer a range of services that otherwise were not possible. This move …
stock of user data and offer a range of services that otherwise were not possible. This move …
Macroprudential policies, corporate governance and bank risk: Cross-country evidence
The present study uses a sample of up to 356 banks from 50 countries over the period 2002–
2017 to examine whether and how macroprudential policies and corporate governance …
2017 to examine whether and how macroprudential policies and corporate governance …
Corruption and banking stability: Evidence from emerging economies
T Toader, M Onofrei, AI Popescu… - … Markets Finance and …, 2018 - Taylor & Francis
This article investigates the effect of corruption on banking stability using data from banks in
emerging markets. The analysis first reveals that a lower level of corruption had a positive …
emerging markets. The analysis first reveals that a lower level of corruption had a positive …
Corporate governance mechanisms and creative accounting practices: the role of accounting regulation
P Olojede, O Erin - International Journal of Disclosure and Governance, 2021 - Springer
The rising cases of the high profile corporate failures in recent years have been a source of
concern to all stakeholders. Thus, the public have become more critical about the …
concern to all stakeholders. Thus, the public have become more critical about the …
Are Islamic stock indexes exposed to systemic risk? Multivariate GARCH estimation of CoVaR
N Trabelsi, N Naifar - Research in International Business and Finance, 2017 - Elsevier
The main objective of this paper is to assess the exposure of Islamic stock indexes to
systemic tail events. We use Conditional Value-at-Risk (CoVaR) and Delta CoVaR …
systemic tail events. We use Conditional Value-at-Risk (CoVaR) and Delta CoVaR …
The impact of ESG-factors on financial stability
MI Stolbov, MA Shchepeleva - Voprosy Ekonomiki, 2022 - ideas.repec.org
An increasing attention has been riveted recently on so called ESGfactors impacting
financial stability. This paper provides a systematic review of the empirical studies which …
financial stability. This paper provides a systematic review of the empirical studies which …
The impact of central bank transparency on systemic risk—Evidence from Central and Eastern Europe
The aim of this paper is to analyze the impact of central bank transparency on systemic risk
in emerging banking markets using a sample composed of 34 banks from Central and …
in emerging banking markets using a sample composed of 34 banks from Central and …
Risk disclosure practices: Does institutional imperative matter?
IMPACT This article will help government managers, regulators, and standard setters to
improve risk management and disclosure in emerging economies. Evidence from in-depth …
improve risk management and disclosure in emerging economies. Evidence from in-depth …
Do corporate governance mechanisms restrain earnings management? Evidence from Nigeria
O Paul, E Olayinka, A Dorcas - International Journal of …, 2023 - inderscienceonline.com
This paper examines the effect of corporate governance mechanisms on earnings
management within the Nigerian context. The study adopted the panel generalised least …
management within the Nigerian context. The study adopted the panel generalised least …
[HTML][HTML] Competition, regulation, and systemic risk in dual banking systems
This study investigates the impact of competition and banking regulation on the systemic risk
of Islamic Banks (IBs) and Conventional Banks (CBs). Utilizing a random effects panel …
of Islamic Banks (IBs) and Conventional Banks (CBs). Utilizing a random effects panel …