The effect of Enterprise Risk Management on the risk and the performance of Spanish listed companies
Tài liệu tham khảo
Abraham, 2014, Improving the relevance of risk factor disclosure in corporate annual reports, The British Accounting Review, 46, 91, 10.1016/j.bar.2013.10.002
Aebi, 2012, Risk management, corporate governance, and Bank performance in the financial crisis, Journal of Banking & Finance, 36, 3213, 10.1016/j.jbankfin.2011.10.020
Ahmed, 2014
Ai, 2018, The combined effect of Enterprise risk management and diversification on property and casualty insurer performance, Journal of Risk and Insurance, 85, 513, 10.1111/jori.12166
Andersen, 2008, The performance relationship of effective risk management: Exploring the firm- specific investment rationale, Long Range Planning, 41, 155, 10.1016/j.lrp.2008.01.002
Ang, 1985, ). Investigations into the determinants of risk: A New look, Quarterly Journal of Business and Economics, 24, 3
Baltagi, 2010, Health care expenditure and income in the OECD reconsidered: Evidence from panel data, Economic Modelling, 27, 804, 10.1016/j.econmod.2009.12.001
Baxter, 2013, Enterprise risk management program quality: Determinants, value relevance, and the financial crisis, Contemporary Accounting Research, 30, 1264, 10.1111/j.1911-3846.2012.01194.x
Beasley, 2005, Enterprise risk management: An empirical analysis of factors associated with the extent of implementation, Journal of Accounting and Public Policy, 24, 521, 10.1016/j.jaccpubpol.2005.10.001
Beasley, 2008, Information conveyed in hiring announcements of senior executives overseeing Enterprise-Wide risk management processes, Journal of Accounting, Auditing and Finance, 23, 311, 10.1177/0148558X0802300303
Beaver, 1970, The association between Market determined and accounting determined risk measures, The Accounting Review, 45, 654
Begley, 1996, Bankruptcy classification errors in the 1980s: an empirical analysis of Altman’s and Ohlson’s models, Review of Accounting Studies, 1, 267, 10.1007/BF00570833
Berkman, 1996, Empirical evidence on the corporate use of derivatives, Financial Management, 25, 5, 10.2307/3665985
Berry-Stölzle, 2018, Enterprise risk management and the cost of Capital, Journal of Risk and Insurance, 85, 159, 10.1111/jori.12152
Biguri, 2018
Bohnert, 2019, The drivers and value of enterprise risk management: Evidence from ERM ratings, The European Journal of Finance, 29, 234, 10.1080/1351847X.2018.1514314
Bromiley, 2015, Enterprise risk management: Review, critique, and research directions, Long Range Planning, 48, 265, 10.1016/j.lrp.2014.07.005
Campbell, 2014, The information content of mandatory risk factor disclosures in corporate filings, Review of Accounting Studies, 19, 396, 10.1007/s11142-013-9258-3
Colquitt, 1999, Integrated risk management and the role of the risk manager, Risk Management and Insurance Review, 2, 43, 10.1111/j.1540-6296.1999.tb00003.x
COSO, 2004
COSO, 2017
D’Arcy, 2001, Enterprise risk management, Journal of Risk Management of Korea, 12, 207
Dickinson, 2001, Enterprise risk management: Its origins and conceptual foundation, The Geneva Papers on Risk and Insurance. Issues and Practice, 26, 360, 10.1111/1468-0440.00121
Durán, 2020, Enterprise risk management and solvency II: The system of governance and the own risk and solvency assessment, Journal of Risk Finance.
Eastman, 2015
Eckles, 2014, The impact of Enterprise risk management on the marginal cost of reducing risk: Evidence from the insurance industry, Journal of Banking and Finance, 43, 247, 10.1016/j.jbankfin.2014.02.007
Ellul, 2012, Stronger risk controls, Lower risk: Evidence from U.S. Bank holding companies, Journal of Finance, 68, 1757, 10.1111/jofi.12057
Farrell, 2015, The valuation implications of Enterprise risk, Journal of Risk and Insurance, 82, 625, 10.1111/jori.12035
Farrell, 2019, Moderating influences on the ERM maturity-performance relationship, Research in International Business and Finance, 47, 616, 10.1016/j.ribaf.2018.10.005
Florio, 2017, Enterprise risk management and firm performance: The Italian case, The British Accounting Review, 49, 56, 10.1016/j.bar.2016.08.003
Fraser, 2007, Ten Common misconceptions about Enterprise risk management, Journal of Applied Corporate Finance, 19, 75, 10.1111/j.1745-6622.2007.00161.x
Gatzert, 2015, Determinants and value of Enterprise risk management: Empirical evidence from the literature, Risk Management and Insurance Review, 18, 29, 10.1111/rmir.12028
Gay, 1999, The underinvestment problem and corporate derivatives use, Financial Management, 27, 53, 10.2307/3666413
Gordon, 2009, Enterprise risk management and firm performance: A contingency perspective, Journal Accounting Public Policy, 28, 301, 10.1016/j.jaccpubpol.2009.06.006
Graham, 2002, Do firms Hedge in response to tax incentives?, Journal of Finance, 57, 815, 10.1111/1540-6261.00443
Harrington, 2002, Enterprise risk management: The case of United grain growers, Journal of Applied Corporate Finance, 14, 71, 10.1111/j.1745-6622.2002.tb00450.x
Haushalter, 2000, Financing policy, basis risk, and corporate hedging: Evidence from oil and gas producers, Journal of Finance, 55, 107, 10.1111/0022-1082.00202
Hellmann, 2000, Credit and equity rationing in markets with adverse selection, European Economic Review, 44, 281, 10.1016/S0014-2921(98)00076-2
Hillegeist, 2004, Assessing the probability of bankruptcy, Review of Accounting Studies, 9, 5, 10.1023/B:RAST.0000013627.90884.b7
Howton, 1999, Currency and interest rate derivatives use in US firms, Financial Management, 27, 111, 10.2307/3666417
Hoyt, 2011, The value of Enterprise risk management, Journal of Risk and Insurance, 78, 795, 10.1111/j.1539-6975.2011.01413.x
Hoyt, 2015, Evidence of the value of Enterprise risk management, Journal of Applied Corporate Finance, 27, 1, 10.1111/jacf.12103
Jafari, 2011, Effective risk management and Company's performance: investment in innovations and intellectual Capital using behavioral and practical approach, Journal of Economics and International Finance, 3, 780
Knopf, 2002, The volatility and price sensitivities of managerial stock option portfolios and corporate hedging, Journal of Finance, 57, 801, 10.1111/1540-6261.00442
Kraus, 2012, The nexus of Enterprise risk management and value creation: A systematic literature review, ACRN Journal of Finance and Risk Perspectives, 1, 91
Lam, 2001, The CRO Is here to stay, Risk Management, 48, 16
Lechner, 2018, Determinants and value of Enterprise risk management: empirical evidence from Germany, The European Journal of Finance, 24, 867, 10.1080/1351847X.2017.1347100
Lee, 2007, The systematic-risk determinants of the US airline industry, Tourism Management, 28, 434, 10.1016/j.tourman.2006.03.012
Liebenberg, 2003, The determinants of Enterprise risk management: Evidence from the appointment of chief risk officer, Risk Management and Insurance Review, 6, 37, 10.1111/1098-1616.00019
Logue, 1972, Financial policy and Market expectations, Financial Management, 1, 37, 10.2307/3665142
Lotti, 2016, A maturity model for Enterprise risk management, International Journal of Production Economics, 173, 66, 10.1016/j.ijpe.2015.12.007
Lundqvist, 2018, Enterprise risk management and default risk: Evidence from the Banking industry, Journal of Risk and Insurance, 85, 127, 10.1111/jori.12151
Magee, 2013, Foreign currency hedging and firm value: A dynamic panel approach
McShane, 2018, Enterprise risk management: History and a design science proposal, The Journal of Risk Finance, 19, 137, 10.1108/JRF-03-2017-0048
McShane, 2011, Does Enterprise risk management increase firm value?, Journal of Accounting, Auditing and Finance, 26, 641, 10.1177/0148558X11409160
Mello, 2000, Hedging and liquidity, The Review of Financial Studies, 13, 127, 10.1093/rfs/13.1.127
Meulbroek, 2002, A senior manager’s Guide, Journal of Applied Corporate Finance, 14, 56, 10.1111/j.1745-6622.2002.tb00449.x
Mikes, 2014
Mollah, 2015, Shari'Ah supervision, corporate governance and performance: Conventional vs. Islamic banks, Journal of Banking & Finance, 58, 418, 10.1016/j.jbankfin.2015.04.030
Mongiardino, 2010, Risk governance at large banks: Have any lessons been learned?, Journal of Risk Management in Financial Institutions, 3, 116
Morningstar, 2018
Nair, 2014, Enterprise risk management as a dynamic capability: A test of its effectiveness during a crisis, Managerial and Decision Economics, 35, 555, 10.1002/mde.2641
Nocco, 2006, Enterprise risk management: Theory and practice, Journal of Applied Corporate Finance, 18, 8, 10.1111/j.1745-6622.2006.00106.x
Ohlson, 1980, Financial ratios and the probabilistic prediction of bankruptcy, Journal of Accounting Research, 18, 109, 10.2307/2490395
Pagach, 2010
Pagach, 2011, The characteristics of firms that hire chief risk officers, Journal of Risk and Insurance, 78, 185, 10.1111/j.1539-6975.2010.01378.x
Pettit, 1972, A model of Capital asset risk, Journal of Financial and Quantitative Analysis, 7, 1649, 10.2307/2329945
Roodman, 2009, How to do Xtabond2: An introduction to difference And system GMM in stata, The Stata Journal, 9, 86, 10.1177/1536867X0900900106
Rosenberg, 1973, The prediction of systematic and specific risk in Common stocks, Journal of Business and Quantitative Analysis, 8, 317
Smith, 1985, The determinants of firms’ hedging policies, Journal of Financial and Quantitative Analysis, 20, 391, 10.2307/2330757
Smithson, 2005, Does risk management add value? A survey of the evidence, Journal of Applied Corporate Finance, 17, 8, 10.1111/j.1745-6622.2005.00042.x
Stulz, 1996, Rethinking risk management, Journal of Applied Corporate Finance, 9, 8, 10.1111/j.1745-6622.1996.tb00295.x
Sullivan, 1978, The cost of Capital and the Market power of firms, Review of Economics and Statistics, 60, 209, 10.2307/1924974
Tahir, 2011, The relationship between Enterprise risk management (ERM) and firm value: Evidence from Malaysian public listed companies, International Journal of Economics and Management Sciences, 1, 32
Tripp, 2008
Tufano, 1996, Who manages risk? An empirical examination of risk management practices in the Gold mining industry, Journal of Finance, 51, 1097, 10.1111/j.1540-6261.1996.tb04064.x
Woon, 2011, A strategic framework for value enhancing Enterprise risk management, Journal of Global Business and Economics, 2, 23