دانلود مقاله ISI انگلیسی شماره 80090
ترجمه فارسی عنوان مقاله

تمرکز ثروت مدیر، ساختار مالکیت و ریسک در بانک های تجاری

عنوان انگلیسی
Manager wealth concentration, ownership structure, and risk in commercial banks ☆
کد مقاله سال انتشار تعداد صفحات مقاله انگلیسی
80090 2007 20 صفحه PDF
منبع

Publisher : Elsevier - Science Direct (الزویر - ساینس دایرکت)

Journal : Journal of Financial Intermediation, Volume 16, Issue 2, April 2007, Pages 229–248

ترجمه کلمات کلیدی
بانک های تجاری
کلمات کلیدی انگلیسی
G21; G34
پیش نمایش مقاله
پیش نمایش مقاله  تمرکز ثروت مدیر، ساختار مالکیت و ریسک در بانک های تجاری

چکیده انگلیسی

Of key importance in the governance structure of firms is the role of financial incentives for each major player. The main contribution of this article is an analysis of how an insider's concentration of wealth in his or her bank investment affects incentives to take risk. Major empirical findings are that, first, bank earnings variation falls when bank managers have more of their wealth concentrated in their banks; second, hired-manager banks become less risky when a person who has significant motivation to monitor bank management has his or her wealth highly concentrated in the bank; and third, stock ownership by hired managers can increase total risk of a bank. Further analysis suggests that community banks in our sample control earnings variation by manipulating idiosyncratic risk, credit risk, and leverage but not systematic risk or the loan-to-asset ratio.