Mecanisms governance in banks and financial risk management (case of Tunisian banks)

  • AMAL HADDOU
Keywords: Bank governance, mechanisms of governance, banking risk management, inancial crisis, liquidity risk

Abstract

This thesis focuses on the study of the mechanisms of governance in banks and their role in reducing the banking risks, in order to avoid the crises that can affect this sector and the global economy as a whole. The Board of Directors was chosen as an internal governance mechanism while the researcher tried to determine the impact of its characteristics on the liquidity risk of banks. Thus, an econometric study was conducted on a sample of ten Tunisian banks listed in the market during the period extending from 2007 to 2016.

 Our results show that each of the CEO, independant directors , institutional investors within the Board of Directors, as well as the size and the capital of the Bank, have a negative impact on the liquidity risk of the banks. On the other side, we found that there is a positive relationship between the liquidity risk and the state directors and unemployability rate

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Published
2021-12-16
Section
Original Article