Market power and bank risks: insights from India and Bangladesh

S Das, AP Pati - Journal of Financial Regulation and Compliance, 2024 - emerald.com
Purpose This study aims to investigate whether various types of risks faced by the publicly
listed commercial banks of India and Bangladesh are driven by market power and provides …

Risk-based regulation and supervision of second-tier banks: experience of EU countries

G Alina, L Zhurakhovska, G Dugalova… - Business: Theory and …, 2024 - aviation.vgtu.lt
The aim of the study was to determine the impact of increased capital adequacy standards of
second-tier banks on their performance. The study is based on second-tier banks of EU …

Risk governance and regulatory adjustments in the public commercial banks of OECD

M Malik - Journal of Financial Regulation and Compliance, 2024 - emerald.com
Purpose This study aims to explore the relationship between risk governance characteristics
(chief risk officer [CRO], chief financial officer [CFO] and senior directors [SENIOR]) and …

Конкуренция в банковском секторе:«дорожная карта» для финансовой стабильности?

Э Джагитян - Современная мировая экономика, 2023 - cwejournal.hse.ru
Аннотация В статье анализируются вопросы конкуренции в банковском секторе в свете
посткризисной политики международного банковского регулирования, ключевой …

[引用][C] Risk Transmission of Foreign Subsidiary in ASEAN Emerging Countries

E Karyani, A Agusman - ETIKONOMI, 2024