Search results for " Basel II"

showing 2 items of 2 documents

Risk committee complexity and liquidity risk in the European banking industry

2021

Abstract The present study aims to investigate how bank governance characteristics are related to liquidity risk by analysing board composition, gender, and the risk committee. A dynamic panel data model is employed on a sample of European banks during the period after the financial crisis (from 2011 to 2017). Furthermore, we collect information about the profiles of the directors on the boards of banks, thereby creating five categories of risk committee members. To address the endogeneity issue, a generalised method of moments two-step estimator is implemented. The findings highlight that the fundamental role of the risk committee adequately shields banks against general liquidity risks. M…

Organizational Behavior and Human Resource ManagementEconomics and EconometricsCorporate governanceFinancial stabilitybusiness.industrySettore SECS-P/11 - Economia Degli Intermediari FinanziariCorporate governanceRisk governanceBank liquidity riskAccountingSample (statistics)Basel IIILiquidity riskMarket liquidityBanking sector Bank liquidity risk Corporate governance Basel III Financial stabilityFinancial crisisBusinessEndogeneityBanking sectorPanel data
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Credit Risk and Simulated Spreads Risk Adjusted for Italian Regions.

2009

We analyse the idiosyncratic and systematic elements influencing Italian firms’ probability of default (PD) and examine the relationship between credit risk and borrowing conditions at a regional level. This paper, using regression analysis, examines the causal relationship between PD of a representative sample of Italian firms, together with accounting variables at firm level and macroeconomic data. The underlying hypothesis examines if the riskiness of Italian firms is influenced exclusively by their specific characteristics or, more generally, depends also on the spatial environment where they operate. According to the literature, the interregional differentials in the cost of money depe…

Probability of default regional borrowing conditions credit risk Basel II ItalySettore SECS-P/06 - Economia Applicata
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