Risk-Adjusted Performance and Bank Governance Structures
These four essays investigate the impact of bank governance structures on performance, risk, and stability. The first three studies analyze financial expertise of supervisory board members as a governance instrument, while the last study addresses the impact of ownership concentration on banks’ performance, risk, and stability on a global level.
These four essays investigate the impact of bank governance structures on performance, risk, and stability. The first three studies analyze financial expertise of supervisory board members as a governance instrument, while the last study addresses the impact of ownership concentration on banks’ performance, risk, and stability on a global level.
Autor: | Böhm, Christoph |
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ISBN: | 9783631639160 |
Auflage: | 1 |
Sprache: | Englisch |
Seitenzahl: | 193 |
Produktart: | Gebunden |
Verlag: | Peter Lang GmbH, Internationaler Verlag der Wissenschaften |
Veröffentlicht: | 17.12.2012 |
Schlagworte: | Adjusted Bank Bank performance Bank risk Bank stability Böhm Christoph Dirk Financial expertise Governance |
Christoph Böhm studied business administration at the University of Mannheim. He earned his doctorate at the Chair of Corporate Finance at the Technische Universität Darmstadt. During his research period he worked for a management consulting company. His current place of employment is with a global reinsurance company.