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公司治理与银行风险承担行为——基于我国上市商业银行的研究
引用本文:庄宇,朱静,孙亚南.公司治理与银行风险承担行为——基于我国上市商业银行的研究[J].经济与管理,2013(10):34-38.
作者姓名:庄宇  朱静  孙亚南
作者单位:[1]南通大学商学院,江苏南通226019 [2]南京师范大学商学院,江苏南京210023
基金项目:教育部人文社科一般项目(青年基金项目)(11YJC630176);江苏省高校哲社基金资助项目(2011SJB630049);南通大学人文社科项目(10w19)
摘    要:以我国13家上市商业银行为样本,利用2001--2012年的半年度数据,采用非平衡面板模型对我国上市商业银行公司治理与风险承担行为之间的关系进行实证研究。结果表明,股权集中度与银行风险承担呈显著的倒u型关系;第一大股东的政府性质能够约束商业银行的冒险行为;高管人员薪酬越高时,银行的风险承担越小;而董事会规模和董事会独立性等董事会治理因素并没有对银行的风险承担行为产生显著影响。

关 键 词:公司治理  风险承担  商业银行

Corporate Governance and Bank Risk-taking Behavior -- Based on the Research of Listed Commercial Banks of China
Zhuang Yu,Zhu Jing,Sun Yanan.Corporate Governance and Bank Risk-taking Behavior -- Based on the Research of Listed Commercial Banks of China[J].Economy and Management,2013(10):34-38.
Authors:Zhuang Yu  Zhu Jing  Sun Yanan
Institution:1,3. School of Business, Nantong University, Nantong 226019, China; 2. School of Business, Nanjing Normal University, Nanjing 210023,China)
Abstract:On the basis of semi-annual data of 13 Chinese listed commercial banks, this paper makes an empirical research on the relationship between corporate governance and risk-taking behavior by using unbalanced panel model. Results show that the relationship between ownership concentration and risk-taking behavior is inverted U-shaped and it is statistically significant; the government nature of the largest shareholder is able to restrain risk-taking behavior of commercial banks; the higher the remuneration of senior executives, the smaller the risk of banks; board governance factors such as board size and independence of board do not have a significant impact on the risk-taking behavior of commercial banks.
Keywords:Corporate governance  Risk-taking behavior  Commercial banks
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