Does corporate governance affect bank risk management? : case study of Indonesian banks
Year of publication: |
2020
|
---|---|
Authors: | Permatasari, Ika |
Published in: |
International trade, politics and development. - Bingley : Emerald, ISSN 2586-3932, ZDB-ID 3000520-6. - Vol. 4.2020, 2, p. 127-139
|
Subject: | Corporate governance | Credit risk | Liquidity risk | Market risk | Operational risk | Risk management | Finanzdienstleistung | Financial services | Risikomanagement | Bankrisiko | Bank risk | Corporate Governance | Kreditrisiko |
-
Corporate governance in relationship with bank risk management
Permatasari, Ika, (2022)
-
Market orientation, balance sheets and risk profile of Islamic banks
Anjum, Shahid, (2015)
-
Integrated risk measurement system in commercial bank
Zhevaga, Alexander, (2021)
- More ...
-
Sustainability reporting or integrated reporting : which one is valuable for investors?
Permatasari, Ika, (2021)
-
Corporate governance in relationship with bank risk management
Permatasari, Ika, (2022)
-
A closer look at integrated reporting quality : a systematic review and agenda of future research
Permatasari, Ika, (2024)
- More ...