#2731. European banks and risk management: Did the 20XX financial crisis have any impact?

January 2027publication date
Proposal available till 30-05-2025
4 total number of authors per manuscript4500 $

The title of the journal is available only for the authors who have already paid for
Journal’s subject area:
Finance;
Economics and Econometrics;
Business and International Management;
Strategy and Management;
Places in the authors’ list:
place 1place 2place 3place 4
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1350 $1200 $1050 $900 $
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2 place - free (for sale)
3 place - free (for sale)
4 place - free (for sale)

Abstract:
The article analyzes the long crisis period from 20XX to 20XX using a data set of 13 systemically important European banks. The results show that a higher level of risk management improves bank performance as measured by Return on Assets (ROA) and annualized returns.
Keywords:
Banks; Multiple-wave crisis; Risk culture; Risk management

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