Bank risk and national governance in Asia

被引:34
|
作者
Williams, Barry [1 ,2 ,3 ]
机构
[1] Bond Univ, Sch Business, Southport, Qld 4229, Australia
[2] Bond Univ, Globalisat & Dev Ctr, Southport, Qld 4229, Australia
[3] Swiss Fed Inst Technol, Swiss Econ Inst KOF, Zurich, Switzerland
关键词
National governance; Bank risk; Asian banks; Asian financial crisis; DEPOSIT INSURANCE; EARNINGS VOLATILITY; MARKET; MERGERS; IMPACT; GROWTH;
D O I
10.1016/j.jbankfin.2014.08.014
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
The role of national governance upon bank-level risk in the Asian region is analysed. Improvements in national governance are risk reducing at the bank level in developed nations in the Asian region, and over the longer run for those nations affected by the Asian Financial Crisis. A U-shaped relationship between bank risk and bank capital is found, and it is argued that the risk reducing impact of increased capital holdings is close to satiation for developed nations in particular. Evidence of risk seeking due to 'too big to fail' effects is observed; with improved national governance able to partially offset some of the moral hazard due to size in developed nations, but not in developing nations. In developing nations increased size interacts with improved national governance to result in increased bank risk. (c) 2014 Elsevier B.V. All rights reserved.
引用
收藏
页码:10 / 26
页数:17
相关论文
共 50 条
  • [31] Board expertise and the relationship between bank risk governance and performance
    Boadi, Lawrence Asare
    Isshaq, Zangina
    Idun, Anthony Adu-asare
    COGENT BUSINESS & MANAGEMENT, 2023, 10 (03):
  • [32] Risk management, corporate governance, and bank performance in the financial crisis
    Aebi, Vincent
    Sabato, Gabriele
    Schmid, Markus
    JOURNAL OF BANKING & FINANCE, 2012, 36 (12) : 3213 - 3226
  • [33] Implementation of Corporate Governance on Environmental Performance and Bank Risk in Indonesia
    Pradnyani, Ni Luh Putu Sri Purnama
    Suartana, I. Wayan
    Sari, Maria Mediatrix Ratna
    Budiasih, I. Gusti Ayu Nyoman
    INDONESIAN JOURNAL OF SUSTAINABILITY ACCOUNTING AND MANAGEMENT, 2023, 7 (02) : 518 - 526
  • [34] LINKING ACCOUNTABILITY, CORRUPTION, AND GOVERNMENT EFFECTIVENESS IN ASIA: AN EXAMINATION OF WORLD BANK GOVERNANCE INDICATORS
    Brewer, Gene A.
    Choi, Yujin
    Walker, Richard M.
    COMPARATIVE GOVERNANCE REFORM IN ASIA: DEMOCRACY, CORRUPTION, AND GOVERNMENT TRUST, 2008, 17 : 227 - 245
  • [35] "ANTICIPATORY" GOVERNANCE AND NATIONAL SECURITY RISK ASSESSMENT
    Zarochintcev, Sergei, V
    VOPROSY GOSUDARSTVENNOGO I MUNITSIPALNOGO UPRAVLENIYA-PUBLIC ADMINISTRATION ISSUES, 2021, (03): : 200 - 218
  • [36] The evolution of bank revenue and risk in the Asia-Pacific Region
    Williams, Barry
    Rajaguru, Gulasekaran
    PACIFIC-BASIN FINANCE JOURNAL, 2022, 72
  • [37] The interrelationships between bank risk and market discipline in Southeast Asia
    Nguyen, Dat T.
    Le, Tu
    STUDIES IN ECONOMICS AND FINANCE, 2023, 40 (02) : 354 - 372
  • [38] The evolution of bank revenue and risk in the Asia-Pacific Region
    Williams, Barry
    Rajaguru, Gulasekaran
    PACIFIC-BASIN FINANCE JOURNAL, 2022, 71
  • [39] Standalone risk management committee, risk governance diversity and Islamic bank risk-taking
    Umar, Umar Habibu
    Abduh, Muhamad
    Besar, Mohd Hairul Azrin
    RISK MANAGEMENT-AN INTERNATIONAL JOURNAL, 2023, 25 (03):
  • [40] Standalone risk management committee, risk governance diversity and Islamic bank risk-taking
    Umar Habibu Umar
    Muhamad Abduh
    Mohd Hairul Azrin Besar
    Risk Management, 2023, 25