1. bookVolumen 11 (2022): Heft 3 (September 2022)
Zeitschriftendaten
License
Format
Zeitschrift
eISSN
2336-9205
Erstveröffentlichung
11 Mar 2014
Erscheinungsweise
3 Hefte pro Jahr
Sprachen
Englisch
Uneingeschränkter Zugang

Board Members’ Educational Background and Financial Performance: Evidence from Eurozone Banks

Online veröffentlicht: 23 Sep 2022
Volumen & Heft: Volumen 11 (2022) - Heft 3 (September 2022)
Seitenbereich: 203 - 227
Eingereicht: 13 Jul 2021
Akzeptiert: 11 Nov 2021
Zeitschriftendaten
License
Format
Zeitschrift
eISSN
2336-9205
Erstveröffentlichung
11 Mar 2014
Erscheinungsweise
3 Hefte pro Jahr
Sprachen
Englisch

1. Adams, R. (2017). The ABCs of empirical corporate (governance) research. Corporate Governance: An International Review, 25(6), 461-464.10.1111/corg.12229 Search in Google Scholar

2. Adams, R., & Mehran, H. (2012). Bank board structure and performance: Evidence for large bank holding companies. Journal of Financial Intermediation, 21(2), 243. doi:10.1016/j.jfi.2011.09.00210.1016/j.jfi.2011.09.002 Search in Google Scholar

3. Basel Committee on Banking Supervision. (2015). Corporate Governance Principles for Banks. Retrieved from https://www.bis.org/bcbs/publ/d328.pdf Search in Google Scholar

4. Berger, A. N., Kick, T., & Schaeck, K. (2014). Executive board composition and bank risk taking. Journal of Corporate Finance, 28, 48-65.10.1016/j.jcorpfin.2013.11.006 Search in Google Scholar

5. Bernerth, J. B., & Aguinis, H. (2016). A Critical Review and Best-Practice Recommendations for Control Variable Usage. Personnel Psychology, 69(1), 229-283. doi:10.1111/peps.1210310.1111/peps.12103 Search in Google Scholar

6. Bertrand, M., & Schoar, A. (2003). Managing with style: The effect of managers on firm policies. The Quarterly Journal of Economics, 118(4), 1169-1208.10.1162/003355303322552775 Search in Google Scholar

7. Boyd, B. K., Adams, R., & Gove, S. (2017). Research methodology of governance studies: Challenges and opportunities. Corporate Governance: An International Review, 25(6), 382-383.10.1111/corg.12225 Search in Google Scholar

8. Chevalier, J., & Ellison, G. (1999). Are some mutual fund managers better than others? Cross-sectional patterns in behavior and performance. The Journal of Finance, 54(3), 875-899.10.1111/0022-1082.00130 Search in Google Scholar

9. Čihák, M., Demirgüç-Kunt, A., Pería, M. S. M., & Mohseni-Cheraghlou, A. (2012). Bank Regulation and Supervision around the World: A Crisis Update.10.1596/1813-9450-6286 Search in Google Scholar

10. Clark, M. (2013). A comparison of correlation measures. Center for Social Research, University of Notre Dame, 4. Search in Google Scholar

11. European Banking Authority and European Securities and Markets Authority. (2017). Joint ESMA and EBA Guidelines on the assessment of the suitability of members of the management body and key function holders under Directive 2013/36/EU and Directive 2014/65/EU. Retrieved from Search in Google Scholar

12. Fernandes, C., Farinha, J., Martins, F. V., & Mateus, C. (2017). Supervisory boards, financial crisis and bank performance: do board characteristics matter? Journal of banking regulation, 18(4), 310-337.10.1057/s41261-016-0037-5 Search in Google Scholar

13. Gande, A., & Kalpathy, S. (2017). CEO compensation and risk-taking at financial firms: Evidence from U.S. federal loan assistance. Journal of Corporate Finance, 47, 131-150. doi:10.1016/j.jcorpfin.2017.09.00110.1016/j.jcorpfin.2017.09.001 Search in Google Scholar

14. Garcia-Meca, E., Garcia-Sanchez, I.-M., & Martinez-Ferrero, J. (2015). Board diversity and its effects on bank performance: An international analysis. Journal of Banking & Finance, 53, 202-214. doi:10.1016/j.jbankfin.2014.12.00210.1016/j.jbankfin.2014.12.002 Search in Google Scholar

15. Golec, J. H. (1996). The effects of mutual fund managers’ characteristics on their portfolio performance, risk and fees. Financial Services Review, 5(2), 133.10.1016/S1057-0810(96)90006-2 Search in Google Scholar

16. Gottesman, A. A., & Morey, M. R. (2006). Manager education and mutual fund performance. Journal of Empirical Finance, 13(2), 145. doi:10.1016/j. jempfin.2005.10.001 Search in Google Scholar

17. Graham, J. R., & Harvey, C. R. (2001). The theory and practice of corporate finance: evidence from the field. Journal of Financial Economics, 60(2), 187-243. doi:https://doi.org/10.1016/S0304-405X(01)00044-7 Search in Google Scholar

18. Hau, H., & Thum, M. (2010). Subprime Crisis and Board (in) Competence: Private vs. Public Banks in Germany, Insead, Fontainebleau Cedex. Search in Google Scholar

19. John, K., De Masi, S., & Paci, A. (2016). Corporate Governance in Banks. Corporate Governance: An International Review, 24(3), 303-321.10.1111/corg.12161 Search in Google Scholar

20. Kauko, K. (2009). Managers and efficiency in banking. Journal of Banking and Finance, 33(3), 546. doi:10.1016/j.jbankfin.2008.09.00710.1016/j.jbankfin.2008.09.007 Search in Google Scholar

21. King, T., Srivastav, A., & Williams, J. (2016). What’s in an education? Implications of CEO education for bank performance. Journal of Corporate Finance, 37, 287-287-308.10.1016/j.jcorpfin.2016.01.003 Search in Google Scholar

22. Minton, B. A., Taillard, J. P., & Williamson, R. (2014). Financial expertise of the board, risk taking, and performance: Evidence from bank holding companies. Journal of Financial and Quantitative Analysis, 49(2), 351-380.10.1017/S0022109014000283 Search in Google Scholar

23. Nguyen, D. D. L., Hagendorff, J., & Eshraghi, A. (2015). Which executive characteristics create value in banking? Evidence from appointment announcements. Corporate Governance: An International Review, 23(2), 112-128.10.1111/corg.12084 Search in Google Scholar

24. Pereira, V., & Filipe, J. A. (2016). Boards Characteristics and Euro Zone Banks’ Performance. Paper presented at the 9th Finance Conference of the Portuguese Finance Network (PFN), Covilhã, Portugal. Search in Google Scholar

25. Pereira, V. M., & Filipe, J. C. B. (2018). Quality of Board Members’ Training and Bank Financial Performance: Evidence from Portugal. International Journal of Economics & Business Administration (IJEBA), 6(3), 47-79. Search in Google Scholar

26. Pereira, V. M. M., & Filipe, J. A. (2015). Measuring the board’s members effect on banks’ performance: an application to Portugal. International Journal of Latest Trends in Finance and Economic Sciences, 5(4), 1015-1030. Search in Google Scholar

27. Torres-Reyna, O. (2017). Panel Data Analysis Fixed and Random Effects using Stata (v. 4.2). Retrieved from https://www.princeton.edu/~otorres/Panel101.pdf Search in Google Scholar

28. Williams, R. (2016). Outliers. Retrieved from https://www3.nd.edu/~rwilliam/stats2/l24.pdf Search in Google Scholar

Empfohlene Artikel von Trend MD

Planen Sie Ihre Fernkonferenz mit Scienceendo