This work is licensed under the Creative Commons Attribution 4.0 International License.
Araújo, L. A. D., &Vinhado, F. (2016). Reputational Risk Measurement: Brazilian Banks. Available at SSRN 2799248.Search in Google Scholar
Bank for International Settlements (2019). Supervisory review process; SRP30-Risk Management. Retrieved from: https://www.bis.org/basel_framework/chapter/SRP/30.htm#:~:text=Reputational%20risk%20can%20be%20defined,or%20establish%20new%2C%20business%20relationshipsSearch in Google Scholar
Board of Governors of the Federal Reserve System (2004). Commercial Bank Examination Manual. Division of Banking Supervision and Regulation.Search in Google Scholar
Carpenter, D. P. (2010). Reputation and Power: Organizational image and pharmaceutical regulation at the FDA. Princeton University Press.Search in Google Scholar
Dowling, G. R., & Gardberg, N. A. (2012). Keeping score: The challenges of measuring corporate reputation. The Oxford handbook of corporate reputation.Search in Google Scholar
Groenleer, M. L. (2011, August). The Actual Practice of Agency Autonomy: Tracing the Developmental Trajectories of the European Medicines Agency and the European Food Safety Authority. In Open Forum CES Paper (No. 5).Search in Google Scholar
Hall, P. A. (1993). Policy paradigms, social learning, and the state: the case of economic policymaking in Britain. Comparative politics, 275-296.Search in Google Scholar
Lee, D., & Van Ryzin, G. G. (2019). Measuring bureaucratic reputation: Scale development and validation. Governance, 32(1), 177-192.Search in Google Scholar
Lehtimaki, J., & Palmu, M. (2022). Who Should You Listen to in a Crisis? Differences in Communication of Central Bank Policymakers. Journal of Central Banking Theory and Practice. 33-57, DOI: 10.2478/jcbtp-2022-0022. Search in Google Scholar
Nepal Rastra Bank (2015). Integrated Risk Management Framework. Kathmandu, Nepal.Search in Google Scholar
Overman, S., Busuioc, M., & Wood, M. (2020). A multidimensional reputation barometer for public agencies: A validated instrument. Public Administration Review, 80(3), 415-425.Search in Google Scholar
Steinhoff, C., & Sprengel, R. (2014). Governance as the Starting Point for a Reputational Risk-Management Process. Reputational Risk Management in Financial Institutions, Risk Books Incisive Media Investments Ltd, London.Search in Google Scholar
Vallet, G. (2021). Great Power, Great Responsibility: Addressing the Underestimated Issue of Central Bank’s Social Responsibility. Journal of Central Banking Theory and Practice. 10(3), 23-39, DOI: 10.2478/jcbtp-2021-0022.Search in Google Scholar
Vardy, J. (2015). Reputational Risk Management in Central Banks. Bank of Canada Staff Discussion Paper 2015-2016. ISSN: 1914-0568Search in Google Scholar
Vučinić, M., & Luburić, R. (2022). Fintech, Risk-Based Thinking and Cyber Risk. Journal of Central Banking Theory and Practice, 27-53. DOI: 10.2478/jcbtp-2022-0012Search in Google Scholar
Wæraas, A., &Byrkjeflot, H. (2012). Public sector organizations and reputation management: Five problems. International public management journal, 15(2), 186-206.Search in Google Scholar