Abstract
This paper attempts to summarize the information contained in bank financial statements on the risk management capabilities of banks and then ascertains the sensitivity of bank stocks to risk management.
| Original language | English |
|---|---|
| Pages (from-to) | 7-22 |
| Journal | Journal of Risk Finance |
| Volume | 10 |
| Issue number | 1 |
| DOIs | |
| Publication status | Published - 2009 |
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