Risk management, corporate governance and financial performance of the banking system in Romania
Data publikacji: 15 cze 2018
Zakres stron: 182 - 196
DOI: https://doi.org/10.2478/picbe-2018-0018
Słowa kluczowe
© 2018 Mariana Bunea, published by Sciendo
This work is licensed under the Creative Commons Attribution-NonCommercial-NoDerivatives 4.0 License.
The recent global financial crisis has raised a number of questions with regard to corporate governance of banking financial institutions. There was a series of “voices” that expressed their concern and even the lack of confidence in the role of corporate governance at the banking system level, and not only, in preventing the effects of this crisis. The main objective of this research is constituted by the study of the corporate governance influence at the banking system level in Romania on the risks management area and of banking financial performances. The used research methodology is predominantly quantitative. This methodology is based on a descriptive statistics, having as objective the analysis of corporate governance characteristics, the appreciation of the risks management level and the performances recorded at the level of the Romanian banking system. In the realisation of this study, the calculation of central tendency indicators, dispersion and form of distribution were used with the help of the SPSS software under Windows (Descriptive Statistics).