Risk Disclosure in the European Banking Industry

Risk Disclosure in the European Banking Industry

Qualitative and Quantitative Content Analysis Methodologies

Polizzi, Salvatore

Springer Nature Switzerland AG

02/2022

141

Dura

Inglês

9783030939663

15 a 20 dias

407

Descrição não disponível.
Chapter 1. Introduction.- Chapter 2. Risk Disclosure in Banking: The State of the Art.- Chapter 3. Derivative Disclosure Practices in the European banking system: A Qualitative Analysis of Globally Systemically Important Banks.- Chapter 4. The Effects of the Single Supervisory Mechanisms on Bank Risk Disclosure: Evidence from a Quantitative Content Analysis.- Chapter 5. Concluding Remarks.
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Risk management;Banking;Derivative disclosure practices;Globally systemically important banks;BNP Paribas;Banco Santander;Deutsche Bank;Unicredit;Single supervisory mechanisms;Content analysis;Financial methodology;Robustness tests;Accounting;Banking regulation;Islamic banks;Proprietary cost theory;Agency theory