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risk in the context of the COVID-19 pandemic. The panel regression method was used to analyze quarterly data from 27 … of Vietnamese commercial banks, but it did increase their exposure to risk. On the basis of the empirical findings, this …
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Prior research has examined how investors view asset securitizations, and shows that investors treat securitizations as borrowings, even when GAAP treats them as sales. Upon the adoption of two new accounting standards relating to securitizations, some off-balance-sheet securitized assets were...
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of RPTs, identified by auditors as a key audit matter (KAMs), challenges and solutions to problems related to risk …
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sustainable finance. Egidio Palmieri is a Research Fellow in Bank Risk Management at the University of Udine where his current … mechanisms and risk mitigation effects. Additionally, he has explored the impact of ESG performance on the credit scores of non …-financial institutions. He is also a Visiting Researcher in ESG and Bank Risk Management at Bangor University, UK. Enrico Fioravante Geretto …
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Loss aversion postulates that people prefer avoiding losses over acquiring gains of equal size. It is a central part of prospect theory and, according to Daniel Kahneman, "the most significant contribution of psychology to behavioral economics" (Kahneman, 2011, p. 300). It has powerful...
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