Description
Book SynopsisChapter 1: Introduction.- Chapter 2: Stock market reaction to external CEO appointments: Evidence from the Nordic countries.- Chapter 3: How do stock markets value bank diversification? Evidence from the Eurozone.- Chapter 4: Creating value in M&A: does ESG performance matter for acquirer returns?.- Chapter 5: The existence and role of bank risk committees around the Global Financial Crisis.- Chapter 6: The remuneration committee: A descriptive analysis of Global Systemically Important Banks (G-SIBs).- Chapter 7: Bank deposits and deposit rates: The impact of COVID-19 and the effect of ESG scores.- Chapter 8: Do individual investors drive volatility? Evidence from the Robintrack dataset.- Chapter 9: Should shareholders just vote no? Examining the impact of shareholder proposals.- Chapter 10: The diffusion of blockchain technology for financial reporting functions seen through the lens of norm lifecycles.- Chapter 11: ESG, asset quality and financial performance in banking: State of the art and future research directions.- Chapter 12: Conclusion.