Bankers' stock options, risk-taking and the financial crisis

被引:10
|
作者
Minhat, Marizah [1 ]
Abdullah, Mazni [2 ]
机构
[1] Edinburgh Napier Univ, Sch Accounting Financial Serv & Law, Edinburgh EH14 1DJ, Midlothian, Scotland
[2] Univ Malaya, Fac Business & Accountancy, Dept Accounting, Kuala Lumpur 50603, Malaysia
关键词
Executive pay; Stock options; Vega; Bank risk-taking; Financial crisis; BANKING INDUSTRY; COMPENSATION; INCENTIVES; DETERMINANTS; MODEL;
D O I
10.1016/j.jfs.2016.01.008
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
This study investigates the relationship between the use of stock options and bank risk in the context of the 2007-2008 financial crisis for banks that are authorised to accept deposits in the United Kingdom. These banks are affected by the European regulation on variable pay, but, to our knowledge, their usage of stock options has not been examined in previous studies. Paying bankers with stock options can generate two types of managerial incentives, namely, incentives to improve performance and incentives to take risk. Controlling for incentives to improve performance, we find that banks' total risk and insolvency risk increase with the risk-taking incentives induced by stock options. We also find that this relationship is more pronounced surrounding the crisis period. The findings of this study can serve as institutionally relevant empirical support for the European regulation on variable pay. (C) 2016 Elsevier B.V. All rights reserved.
引用
收藏
页码:121 / 128
页数:8
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