CEO Risk-Taking Incentives and Bank Failure during the 2007-2010 Financial Crisis
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- Type
- article
- Published
- 2018-08-01
- Cited by
- 34
- References
- 73
- Access
- Open access
- OpenAlex
- https://openalex.org/W73769873
- Semantic Scholar
- https://api.semanticscholar.org/CorpusID:53690108
Keywords
Financial crisis, Financial system, Incentive, Business, Bank failure
References
- Risk-Taking Incentives Through Excess Variable Compensation -- Evidence from European Banks
- Research Handbook on International Banking and Governance
- Larger board size and decreasing firm value in small firms 1 We wish to thank Asiakastieto Oy for fu
- Risk-taking Incentives, Governance,and Losses in the Financial Crisis
- Regulating Banking Bonuses in the European Union: a Case Study in Unintended Consequences
- Ex ante CEO severance pay and risk-taking in the financial services sector
- How Do Ex-Ante Severance Pay Contracts Fit into Optimal Executive Incentive Schemes?
- Promoting the Quiet Life or Risk-Taking? CEO Severance Contracts and Managerial Decision-Making
- Corporate Incentives for Hedging and Hedge Accounting
- Leverage decision and manager compensation with choice of effort and volatility
- Financing decisions when managers are risk averse
- Financial crisis and bank executive incentive compensation
- The Subjective and Objective Evaluation of Incentive Stock Options
- Managerial Incentives and Risk-taking
- The sensitivity of CEO wealth to equity risk: an analysis of the magnitude and determinants ☆
- Large Shareholders, Monitoring, and the Value of the Firm
- Forecasting Default with the Merton Distance to Default Model
- Testing hypotheses about interaction terms in nonlinear models
- Bank Governance, Regulation, and Risk Taking
- CEO compensation and bank risk Is compensation in banking structured to promote risk taking
Cited by
- Managerial Incentives to Take Asset Risk
- Managerial myopia and the mortgage meltdown
- CEO risk-taking incentives and socially irresponsible activities
- Effectiveness and (in)efficiencies of compensation regulation: Evidence from the EU banker bonus cap
- Determinants of real estate bank profitability
- Global financial crisis after ten years: a review of the causes and regulatory reactions
- A review of the literature on dual-class firms
- Incentives and culture in risk compliance
- Management estimation in banking
- Managerial ability and bank failure
- Executive Stock Options and Systemic Risk
- Institutional investor horizon and bank risk-taking
- DIFFERENTIAL RISK‐TAKING IMPLICATIONS OF PERFORMANCE INCENTIVES FROM STOCK AND STOCK OPTION HOLDINGS
- Managerial incentives to take asset risk
- Can CEO education promote environmental innovation: Evidence from Chinese enterprises
- Do enhanced derivative disclosures work? An informational perspective
- Mortgage-Related Bank Penalties and Systemic Risk Among U.S. Banks
- How executive incentive design affects risk-taking: a literature review
- Bank CEO risk-taking incentives and bank lending quality
- Compensation Regulation in Banking: Executive Director Behavior and Bank Performance after the EU Bonus Cap*
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