The Management of Reputational Risks in Banks: Findings From Germany and Switzerland

被引:14
|
作者
Zaby, Simon [1 ]
Pohl, Michael [2 ]
机构
[1] Mahidol Univ, Coll Management, 69 Vipawadee Rangsit Rd, Bangkok 10400, Thailand
[2] Steinbeis Hsch Berlin, Sch Management & Innovat, Berlin, Germany
来源
SAGE OPEN | 2019年 / 9卷 / 03期
关键词
bank management; risk management; reputation; reputational risks; CORPORATE SOCIAL-RESPONSIBILITY; OPERATIONAL RISK; TRUST; TRUSTWORTHINESS; CONCEPTUALIZATION; KNOWLEDGE; INDUSTRY; IMPACT; CSR;
D O I
10.1177/2158244019861479
中图分类号
C [社会科学总论];
学科分类号
03 ; 0303 ;
摘要
This article identifies reputation-risk-relevant factors for banks, and the focus will be placed on the development of an indicator-based model for the assessment of reputation. Requirements and insights are based on a survey of credit institutions in Germany and Switzerland, which have been predominantly affected during the financial crisis by aptly nascent risks and which are thereby also partially affected even today. Reputation level can be considered as a temporally dynamical phenomenon which predominantly develops depending on the changes in the reputation drivers and expectations of the groups of stakeholders. This control parameter can be determined with the aid of Reputation Index Points (RIP). Efficient reputation risk management can, in the future, help prevent negative spillover effects from banks which face difficulties from the society or the taxpayers.
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页数:15
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