Are bank stocks sensitive to risk management?
نویسندگان
چکیده
منابع مشابه
Investors' Perception of Bank Risk Management: Multivariate Analysis Techniques
According to the nature of their activities, banks are exposed to various types of risks. Hence, risk management is at the heart of financial institutions management. In this study, we intend to summarize the information content of bank financial statements on diverse risks faced by banks and then determine how stock markets react to bank's risk management behavior. The methodology used in this...
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ژورنال
عنوان ژورنال: The Journal of Risk Finance
سال: 2009
ISSN: 1526-5943
DOI: 10.1108/15265940910924463