Credit booms and busts in emerging markets: the role of bank governance and risk management

Collection:
Mokslo publikacijos / Scientific publications
Document Type:
Straipsnis / Article
Language:
Anglų kalba / English
Title:
Credit booms and busts in emerging markets: the role of bank governance and risk management
In the Journal:
Economics of transition, 2017, 25, 3, 377-437
Summary / Abstract:

ENWe investigate to what extent corporate governance and risk management mitigate the involvement of banks in credit boom and bust cycles. We study a unique, handcollected dataset covering 156 banks from Central and Eastern Europe during 2005– 2012. We document that stronger risk management is associated with more moderate pre-crisis credit growth but not with fewer credit losses in the crisis. With respect to bank governance, we find that a higher share of foreign members on the supervisory board is associated with less rapid credit growth in the pre-crisis period and a lower level of credit losses during the crisis period.

DOI:
10.1111/ecot.12127
ISSN:
0967-0750
Related Publications:
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https://www.lituanistika.lt/content/89264
Updated:
2021-02-02 19:07:51
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