The influence of corporate governance on bank risk during a financial crisis
Using agency theory, we explore the relationship between corporate governance mechanisms and bank risk. We employ panel data analysis to study the 97 largest European listed banks between 2006 and 2010, thereby covering the most recent international financial crisis. The results show that corporate...
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Outros Autores: | , , |
Formato: | article |
Idioma: | eng |
Publicado em: |
2022
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Assuntos: | |
Texto completo: | http://hdl.handle.net/10400.5/25346 |
País: | Portugal |
Oai: | oai:www.repository.utl.pt:10400.5/25346 |