Are bank stocks sensitive to risk management?

Sensarma, R. and Jayadev, M. (2009) Are bank stocks sensitive to risk management? Journal of Risk Finance, 10 (1). pp. 7-22. ISSN 1526-5943
Copy

This 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.


picture_as_pdf
JoRF.pdf

View Download

EndNote BibTeX Reference Manager Refer Atom Dublin Core ASCII Citation OPENAIRE MPEG-21 DIDL HTML Citation MODS METS RIOXX2 XML OpenURL ContextObject Data Cite XML OpenURL ContextObject in Span
Export

Downloads