Size, risk, and governance in European banking / Jens Hagendorff, Kevin Keasey and Francesco Vallascas
- Author
- Hagendorff, Jens
- Published
- Oxford : Oxford University Press, 2014.
- Physical Description
- 1 online resource : illustrations (black and white)
- Additional Creators
- Keasey, Kevin and Vallascas, Francesco
Access Online
- Oxford scholarship online: ezaccess.libraries.psu.edu
- Contents
- Machine generated contents note: pt. I Introduction -- 1.Introduction -- pt. II Size in European Banking -- 2.Bank Systemic Size and Systemic Crises -- 3.Increases in Size and Bank Default Risk: Evidence from European Bank Mergers -- pt. III Risk in European Banking -- 4.The Trends and Composition of Banking Risk across Europe -- 5.The Determinants of European Bank Exposure to Systemic Shocks -- pt. IV Corporate Governance in European Banking -- 6.Board Monitoring, Regulation, and Performance in the European Banking Industry -- 7.Executive Pay and Risk-taking in the European Banking Industry -- 8.Systemic Risk Potential and Opacity in European Banks -- pt. V Conclusions and Implications for the Re-regulation of European Banking -- 9.Conclusions.
- Summary
- This work assesses the policy and regulatory issues surrounding European banking in the aftermath of the financial crisis looking at size, risk and governance of banks.
- Subject(s)
- ISBN
- 9780191748820 (ebook)
- Bibliography Note
- Includes bibliographical references and index.
View MARC record | catkey: 28934487