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Journal

2016 | 4 (65) | 96-115

Article title

REPUTATIONAL RISK: PROBLEMS WITH UNDERSTANDING THE CONCEPT AND MANAGING ITS IMPACT

Content

Title variants

Languages of publication

EN

Abstracts

EN
Interest in reputational risk as a self-standing type of risk is relatively new. The research is driven not so much by regulatory requirements, but by stakeholders’ interest. Therefore, the purpose of this article is to trace the sources of reputational risk and consequences of the problems associated with a bank’s negative reputation. The paper focuses on the differences in the definitions and methodological problems of its measurement. The empirical part proposes a new index measuring reputational risk, based on the perspectives of important stakeholders. The panel models analyse the impact of the index on bank performance in CEE.

Journal

Year

Issue

Pages

96-115

Physical description

Contributors

  • Instytut Ekonomii, Finansów i Zarządzania Uniwersytetu Jagiellońskiego
author
  • Wydział Finansów i Prawa, Uniwersytet Ekonomiczny w Krakowie

References

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Document Type

Publication order reference

Identifiers

ISSN
1429-2939

YADDA identifier

bwmeta1.element.desklight-85a7372c-c618-4e2b-98de-8df0dc937fe1
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