Risk disclosure in the European banking industry : qualitative and quantitative content analysis methodologies /

This book analyses the use of qualitative and quantitative content analysis methodologies for risk disclosure practices in the European banking industry. While doing so, it assesses the level of transparency of financial and non-financial reports by focusing on the information disclosed to the publi...

وصف كامل

محفوظ في:
التفاصيل البيبلوغرافية
المؤلف الرئيسي: Polizzi, Salvatore (مؤلف)
الوثيقة: كتاب إلكتروني
اللغة:English
منشور في: Cham : Springer, [2022]
سلاسل:UNIPA Springer series.
الموضوعات:
الوصول للمادة أونلاين:http://library.sama.gov.sa/cgi-bin/koha/opac-retrieve-file.pl?id=b1fe64d0abf5920130c15739c140cd9b
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245 1 0 |a Risk disclosure in the European banking industry :  |b qualitative and quantitative content analysis methodologies /  |c Salvatore Polizzi 
264 1 |a Cham :  |b Springer,  |c [2022] 
264 4 |c ©2022 
300 |a 1 online resource :  |b color illustrations 
336 |a text  |b txt  |2 rdacontent 
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490 1 |a UNIPA Springer series,  |x 2366-7524 
504 |a Includes bibliographical references 
505 0 |a Chapter 1. Introduction -- Chapter 2. Risk Disclosure in Banking: The State of the Art -- Chapter 3. Derivative Disclosure Practices in the European banking system: A Qualitative Analysis of Globally Systemically Important Banks -- Chapter 4. The Effects of the Single Supervisory Mechanisms on Bank Risk Disclosure: Evidence from a Quantitative Content Analysis -- Chapter 5. Concluding Remarks 
506 |a Available to OhioLINK libraries 
520 |a This book analyses the use of qualitative and quantitative content analysis methodologies for risk disclosure practices in the European banking industry. While doing so, it assesses the level of transparency of financial and non-financial reports by focusing on the information disclosed to the public with reference to risk exposure and management. By drawing upon both qualitative and quantitative techniques, the book proposes two different methodological approaches to assess the information European financial institutions provide to the public with reference to the risk disclosure and derivative disclosure in their annual financial reports. These methodologies are subsequently employed to carry out empirical analyses on samples of European banks. By exploiting the points of strength of both qualitative and quantitative content analysis methodologies, this book offers insights into the advantages and disadvantages of these methodologies. The book is a must-read for academics and researchers that analyze disclosure practices of financial and non-financial firms, as well as financial analysts and other practitioners that are interested in assessing the level of transparency and evaluating the disclosures of financial and non-financial firms, especially, but not exclusively, with reference to risk disclosure and derivative disclosure 
650 0 |a Risk management.  |0 http://id.loc.gov/authorities/subjects/sh85114200 
650 0 |a Financial risk  |0 http://id.loc.gov/authorities/subjects/sh2006001093  |z Europe.  |0 http://id.loc.gov/authorities/subjects/sh85045631 
650 0 |a Disclosure of information  |0 http://id.loc.gov/authorities/subjects/sh90003174  |z Europe.  |0 http://id.loc.gov/authorities/subjects/sh85045631 
650 0 |a Banks and banking  |0 http://id.loc.gov/authorities/subjects/sh85011609  |z Europe.  |0 http://id.loc.gov/authorities/subjects/sh85045631 
650 2 |a Risk Management.  |0 https://id.nlm.nih.gov/mesh/D012308 
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