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dc.contributor.authorSensarma, R.
dc.contributor.authorJayadev, M.
dc.date.accessioned2010-07-20T08:43:52Z
dc.date.available2010-07-20T08:43:52Z
dc.date.issued2009
dc.identifier.citationSensarma , R & Jayadev , M 2009 , ' Are bank stocks sensitive to risk management? ' , Journal of Risk Finance , vol. 10 , no. 1 , pp. 7-22 . https://doi.org/10.1108/15265940910924463
dc.identifier.issn1526-5943
dc.identifier.otherdspace: 2299/4669
dc.identifier.urihttp://hdl.handle.net/2299/4669
dc.descriptionOriginal article can be found at: http://www.emeraldinsight.com/ Copyright Emerald Group Publishing Ltd.
dc.description.abstractThis paper attempts to summarize the information contained in bank financial statements on the risk management capabilities of banks and then ascertains the sensitivity of bank stocks to risk management.en
dc.format.extent254105
dc.language.isoeng
dc.relation.ispartofJournal of Risk Finance
dc.titleAre bank stocks sensitive to risk management?en
dc.contributor.institutionHertfordshire Business School
dc.description.statusPeer reviewed
rioxxterms.versionofrecord10.1108/15265940910924463
rioxxterms.typeJournal Article/Review
herts.preservation.rarelyaccessedtrue


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