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Risk Management Research Report - Inaugural Issue - Spring 2009

Friday May 08, 16:16PM

Risk Management Research Report

Edited by Robert W. Kolb and published quarterly by the School of Business at Loyola University, Risk Management Research Report aims to serve the professional and academic risk management communities by presenting extended summaries of recently published academic articles of particular interest.

RMRR seeks to select the best and most important articles in risk management and corporate governance and to communicate the essential ideas of that research to risk managers and risk management scholars in a timely manner and a convenient format. The editor of RMRR, Robert W. Kolb, selects the articles for inclusion, writes the summary of each article, and bears sole responsibility for the content of RMRR.

Issue one includes:

Does Interbank Borrowing Reduce Bank Risk?
Valeriya Dinger and Jürgen von Hagen

The Application of Monoline Insurance Principles to the Reregulation of Investment Banks and the GSEs
Dwight M. Jaffee

Are Female Executives Over-represented in Precarious Leadership Positions?
Susan M. Adams, Atul Gupta and John D. Leeth

Bank Competition and Financial Stability
Allen N. Berger, Leora F. Klapper, and Rima Turk-Ariss

Mitigating Risk in Cross-Border Acquisitions
Tomas Mantecon

The Relationship Between Corporate Social Responsibility and Shareholder Value: An Empirical Test of the Risk Management Hypothesis
Paul C. Godfrey, Craig B. Merrill, and Jared M. Hansen

Earnings Management Strategies and the Trade-Off Between Tax Benefits and Detection Risk: To Conform or Not to Conform?
Brad A. Badertscher, John D. Phillips, Morton Pincus, and Sonja Olhoft Rego

Goals Gone Wild: The Systematic Side Effects of Overprescribing Goal Setting
Lisa D. Ordóñez, Maurice E. Schweitzer, Adam D. Galinsky, and Max H. Bazerman

Download the Report from SSRN.

Visit the Report Homepage.

Subscribe to the report here.

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