Systemic risk, corporate governance and regulation of banks across emerging countries

C-Tier
Journal: Economics Letters
Year: 2016
Volume: 144
Issue: C
Pages: 59-63

Score contribution per author:

0.503 = (α=2.01 / 2 authors) × 0.5x C-tier

α: calibrated so average coauthorship-adjusted count equals average raw count

Abstract

This paper investigates the impact of governance and regulation on systemic risk banks from 10 CEE countries. Our results show that tight internal risk management mechanisms and shareholder-friendly supervisory boards are associated with higher contribution of banks to systemic risk. Additionally, external governance significantly affects the impact of corporate governance on systemic risk.

Technical Details

RePEc Handle
repec:eee:ecolet:v:144:y:2016:i:c:p:59-63
Journal Field
General
Author Count
2
Added to Database
2026-01-24