Bank CEO risk-taking incentives and bank lending quality

被引:0
|
作者
Rui-Xiang Zhai
Po-Hsin Ho
Chih-Yung Lin
Tran Thi Thuy Linh
机构
[1] National Kaohsiung University of Science and Technology,Department of Money and Banking
[2] National Central University,Department of Finance
[3] National Yang Ming Chiao Tung University,Department of Information Management and Finance
[4] Thai Nguyen University of Economics and Business Administration,Department of Banking and Finance
关键词
CEO risk-taking incentives; Bank loan contracts; Cumulative abnormal returns; Corporate governance; Lending quality; G21; G32; G34;
D O I
暂无
中图分类号
学科分类号
摘要
We investigate how bank CEO risk-taking incentives (Vega) influence lending decisions. We find that Vega is negatively related to the cumulative abnormal returns around loan announcements for banks. Our evidence shows that banks with high Vega charge a significantly lower loan spread, demand fewer loan covenants, and have a lower probability of requesting collateral. The results become weaker when banks have strong corporate governance mechanisms. We conduct a difference-in-differences analysis of banks who receive troubled asset relief program (TARP) funding that puts pressure on banks to reduce their option. We find that the Vega effect significantly declines after TARP.
引用
收藏
页码:949 / 981
页数:32
相关论文
共 50 条
  • [21] Bank regulations, bank competition and bank risk-taking: Evidence from Japan
    Tongurai, Jittima
    Vithessonthi, Chaiporn
    JOURNAL OF MULTINATIONAL FINANCIAL MANAGEMENT, 2020, 56
  • [22] Interest rates and bank risk-taking
    Delis, Manthos D.
    Kouretas, Georgios P.
    JOURNAL OF BANKING & FINANCE, 2011, 35 (04) : 840 - 855
  • [23] Female leadership and bank risk-taking: Evidence from the effects of real estate shocks on bank lending performance and default risk
    Palvia, Ajay
    Vahamaa, Emilia
    Vahamaa, Sami
    JOURNAL OF BUSINESS RESEARCH, 2020, 117 : 897 - 909
  • [24] Population Aging and Bank Risk-Taking
    Doerr, Sebastian
    Kabas, Gazi
    Ongena, Steven
    JOURNAL OF FINANCIAL AND QUANTITATIVE ANALYSIS, 2024, 59 (07) : 3037 - 3061
  • [25] National culture and bank risk-taking
    Mourouzidou-Damtsa, Stella
    Milidonis, Andreas
    Stathopoulos, Konstantinos
    JOURNAL OF FINANCIAL STABILITY, 2019, 40 : 132 - 143
  • [26] Convertible bonds and bank risk-taking
    Martynova, Natalya
    Perotti, Enrico
    JOURNAL OF FINANCIAL INTERMEDIATION, 2018, 35 : 61 - 80
  • [27] Bank Risk-Taking in CEE Countries
    Kouretas, Georgios P.
    Tsoumas, Chris
    CENTRAL EUROPEAN JOURNAL OF ECONOMIC MODELLING AND ECONOMETRICS, 2013, 5 (02): : 103 - 123
  • [28] The effect of TARP on bank risk-taking
    Black, Lamont K.
    Hazelwood, Lieu N.
    JOURNAL OF FINANCIAL STABILITY, 2013, 9 (04) : 790 - 803
  • [29] Shareholder diversification and bank risk-taking
    Garcia-Kuhnert, Yamileh
    Marchica, Maria-Teresa
    Mura, Roberto
    JOURNAL OF FINANCIAL INTERMEDIATION, 2015, 24 (04) : 602 - 635
  • [30] Does central bank communication affect bank risk-taking?
    Montes, G. C.
    Scarpari, A.
    APPLIED ECONOMICS LETTERS, 2015, 22 (09) : 751 - 758