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Chapter 1. Introduction by the editors -- Chapter 2. The market reaction to climate risk: evidence from the European banking industry -- Chapter 3. Dissecting the European ESG premium vs the US: is it all about non-financial reporting? -- Chapter 4. Loan origination and monitoring guidelines:...
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Although the performance and privatisation of transition banks have been widely studied already, little is known about their risk-taking and risk management activities. We use a new European Bank for Reconstruction and Development (EBRD) survey data set of banks to examine risk taking by banks...
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Although the performance and privatization of transition banks have been widely studied already, little is known about their risk taking and risk management activities. We use a new EBRD survey data set of banks to examine risk taking by banks in the transition countries. We find no indication...
Persistent link: https://www.econbiz.de/10014050185
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​We aim to assess how accurately accounting and stock market indicators predict rating changes for Asian banks. We conduct a stepwise process to determine the optimal set of early indicators by tracing upgrades and downgrades from rating agencies, as well as other relevant factors. Our results...
Persistent link: https://www.econbiz.de/10013104247