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Risk-Adjusted Performance and Bank Governance Structures (Corporate Finance and Governance)

By: Christoph Bohm (Author) , Dirk Schiereck (Series editor)

Out of stock

Ksh 12,200.00

Format: Hardback or Cased Book

ISBN-10: 3631639163

ISBN-13: 9783631639160

Collection / Series: Corporate Finance and Governance

Collection Type: Publisher collection

Edition statement: New

Publisher: Peter Lang AG

Imprint: Peter Lang AG

Country of Manufacture: DE

Country of Publication: GB

Publication Date: Dec 17th, 2012

Publication Status: Active

Product extent: 193 Pages

Weight: 376.00 grams

Dimensions (height x width x thickness): 15.50 x 21.80 x 1.70 cms

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These four essays investigate the impact of bank governance structures on performance, risk, and stability. The first three studies analyze financial expertise of supervisory board members as a governance instrument, while the last study addresses the impact of ownership concentration on banks’ performance, risk, and stability on a global level.
This dissertation comprises four essays investigating the impact of bank governance structures on performance, risk, and stability. The first three studies analyze financial expertise of supervisory board members as a governance instrument: The first study focuses on the extent to which supervisory board members may be regarded as financially literate. The second study places emphasis on the impact of expertise on performance, risk, and stability at German savings banks, while the third study comprises the comparison of the mentioned impact at savings and cooperative banks. Finally, the fourth study analyzes the impact of ownership concentration on banks’ performance, risk, and stability on a global level.

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