Impact of risk taking on bank financial performance during 2008 financial crisis

نویسندگان

  • Hussein Tarraf
  • Karl Majeske
چکیده

This paper studies the relationship among corporate governance, risk taking and financial performance at bank holding companies’ (BHCs) during the financial crisis of 2008. While the paper did not find a significant relationship between corporate governance and risk-taking level, it shows that BHCs with lower risk performed better than BHCs with higher risk during the crisis. The results suggest that risk taking contributed to the financial crisis. This paper demonstrates the need for future studies that examine corporate governance provisions and their relevance to risk taking and financial performance. The findings contribute to more effective bank regulations and risk management.

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تاریخ انتشار 2013