| Name: | Description: | Size: | Format: | |
|---|---|---|---|---|
| 1.8 MB | Adobe PDF |
Authors
Advisor(s)
Abstract(s)
The aim of this paper is to study the relation between banks’ ownership structure and their risk-taking behavior. Additionally, we examine the impact of banking regulation on banks’ approach to taking risk. The empirical analysis considers a sample of listed banks from EU countries over the period of 2011 to 2016. We found that the structure of the board of directors can influence bank risk behavior but not the ownership concentration. No significant relation was found between the influence of the regulatory environment and bank risk, i.e., stricter regulation has no effect on risk taking by banks.
Description
Keywords
Banks Risk Corporate governance Regulation EU countries
Pedagogical Context
Citation
Garcia, Maria Teresa e Ana Jin Ye (2022). "Risk-taking by banks : evidence from European Union countries". Instituto Superior de Economia e Gestão – REM Working paper series nº 0225 - 2022
Publisher
ISEG - REM-Research in Economics and Mathematics
