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. .. Sommaire,

. .. Résumé,

!. Erreur, . Signet-non, and . Défini,

. .. Abstract,

. .. Liste-des-tableaux,

. .. Abréviations,

, Chapitre 1 : Cadre conceptuel de l'étude de la gouvernance et du risque bancaire, p.19

. .. , 20 Section 1 : Evolution conceptuelle de la définition de gouvernance d'entreprise

. .. De-leur-gouvernance, Section 2 : les particularités des banques

. .. , 35 3.2.2.1. L'incitation au contrôle des dirigeants par les actionnaires : un facteur de risque, Section 3 : Les risques inhérents à l'activité et à la gouvernance des banques

, Section 4 : Les théories sous-jacentes à l'analyse de la gouvernance bancaire

L. .. , 47 4.1.2.3. Les parties prenantes des banques : rôle dans le processus de gestion des risques

, 50 f. Le comité d'audit et les auditeurs internes

. .. Le,

L. .. , , vol.57

. .. Conclusion,

, Gouvernance et risque bancaire, Analyse de la littérature et premiers jalons théoriques, vol.2, p.61

, 62 Section 1 : Les fondements classiques de la relation entre gouvernance et risque bancaire : Le cas de la banque Ayr

. .. Le-système-bancaire-«-smithien-»-de-la-neutralité-À-la-non-neutralité, 64 1.2. Les étapes de la crise de la banque « Ayr »

. Le and . .. Dans-sa-défaillance, 3.2. Les caractéristiques du conseil d'administration comme facteur de défaillance de la banque « Ayr »
URL : https://hal.archives-ouvertes.fr/hal-00817480

. La-modernité-de-«-banking and .. .. Principals»-de-smith,

?. .. Pourquoi, 5.1. Limiter la gouvernance des banques pour des raisons micro-économiques ... 80 1.5.2. Limiter la gouvernance de la banque pour des raisons macroéconomiques, p.82

, Gouvernance des risques et attitude des banques envers le risque : Revue de la littérature et développement des hypothèses de recherche, vol.2

, 1.2. Rôle des déficiences de la gestion des risques dans la recrudescence de risques des banques dans le contexte de la CFI, Les failles de la gouvernance et de la gestion des risques dans le contexte de la crise financière internationale (CFI) : faits saillants

. .. , 90 2.2.2.2. Diversité du genre au sein du CA et attitude des banques envers le risque, Les attributs du conseil d'administration et l'attitude des banques envers le risque : revue de la littérature et développement des hypothèses de la recherche

L. .. Fonctionnement, 96 2.2.3.1. Réunions du conseil d'administration (nombre et taux de participations à ces réunions) et prise de risque des banques, La structure du pouvoir et prise de risque des banques

, La gouvernance des risques : une réforme post crise

. .. , 100 2.4.1. Rôle des attributs du comité de gestion de risques dans l'atténuation des risques bancaires, Rôle de la gouvernance des risques dans l'atténuation des risques bancaires : Revue de la littérature et développement des hypothèses de la recherche, vol.102

. .. Conclusion,

. .. , Essai de modélisation théorique de la relation entre la gouvernance et le risque des banques : La question de la rémunération des dirigeants (CEO), Chapitre, vol.3, p.107

. .. Introduction, 108 Section 1 : Le lien entre les structures de rémunération et le risque dans le cadre de la théorie d'agence

, Le portefeuille optimal avec risque observable (une seule voix)

, Prime sur l'actif le moins risqué, Risque inobservable : dissociation, vol.4

A. .. De-l'information-et-rémunération-incitative, 125 4.3.1 Rémunération fondée sur l'intégralité du portefeuille

. .. Conclusion,

, Union Européenne à l'égard des risques : Une analyse de régression quantile, Gouvernance des risques et attitude des banques de l, vol.4

. .. Introduction, 136 Section 1 : Les aspects méthodologiques et les modèles empiriques de l'étude de l'impact des attributs standards du conseil d'administration et de la gouvernance des risques sur l'attitude des banques à l'égard

, Une mesure de risque d'insolvabilité : Z-Score

. .. , 146 a. Les variables liées aux attributs standards du conseil d'administration, Principales variables indépendantes : les variables liées aux attributs du conseil d'administration et les variables de gouvernance des risques, p.146

, La mesure de l'indice de gouvernance des risques (RGI)

, Choix des variables incluses dans l'indice de gouvernance des risques, p.147

, La méthode d'analyse en composante principale (ACP)

. .. Modèle-Économétrique-du-risque-bancaire, 3.2. Méthode d'estimation : Une analyse de régression de panel sur la gouvernance et le comportement de prise de risque des banques

B. Modèle-À-eff,

, 169 3.1. Les attributs standards du CA et attitude des banques de l'Union européenne à l'égard, Les résultats des estimations des modèles à effets fixes en données de panel, vol.3

. .. Le, 1.3.2 La fréquence des réunions du CA et attitude des banques de l'UE à l'égard des risques, 1.3.1 La structure du pouvoir au sein du CA et attitude des banques de l'UE à l'égard
URL : https://hal.archives-ouvertes.fr/hal-01689208

. .. , 1 Les attributs standards du CA et attitude des banques de l'Union Eeuropéenne à l'égard des risques, Une extension empirique par la méthode de régression quantile (Canay, 2011), vol.4

. .. Conclusion,

. .. Conclusion-generale,

. .. Annexes,

. .. Bibliographie,

. .. Table-des-matières,