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This work assesses the policy and regulatory issues surrounding European banking in the aftermath of the financial crisis looking at size, risk and governance of banks.
This book investigates the relationship between bank size, risk-taking behavior, and corporate governance structures within the European banking sector following the financial crisis. The author, Jens Hagendorff, utilizes empirical data and regulatory analysis to examine how the structural characteristics of large financial institutions influence systemic stability. The work argues that governance mechanisms are critical in mitigating the risks associated with the 'too big to fail' phenomenon in European markets.
What You Will Find
Scope Limits
Experts identify this text as a specialized resource for understanding the regulatory challenges facing European financial institutions. Readers frequently note the academic density of the prose, which is intended for researchers and policy analysts focusing on banking stability.
Page Count:
0
Publication Date:
2014-01-01
Publisher:
Oxford University Press
ISBN-10:
019174882X
ISBN-13:
9780191748820
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