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1

Caprio, Gerard. Governance and bank valuation. National Bureau of Economic Research, 2003.

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2

Caprio, Gerard. Governance and bank valuation. World Bank, 2004.

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3

Brewer, Elijah. Target's corporate governance and bank merger payoff. Research Division, Federal Reserve Bank of Kansas City, 2007.

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4

Hoshi, Takeo. Corporate financing and governance in Japan. MIT Press, 2001.

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5

Khatri, Yougesh. Corporate performance and governance in Malaysia. International Monetary Fund, Asia and Pacific Department, 2002.

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6

Bohm, Christoph. Risk-adjusted performance and bank governance structures. Peter Lang, 2013.

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7

Susilo, Leo J. Good corporate governance pada bank: Tanggung jawab direksi & komisaris dalam melaksanakannya. Hikayat Dunia, 2007.

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8

Torp, Jeffrey. Corporate governance compliance for financial institutions. Alexinformation, 2004.

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9

Llewellyn, David T., Bridget Gandy, Spyros G. Stavrinakis, and Christian Harm. Corporate governance in financial institutions. SUERF, 2007.

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10

Mak, Yuen Teen. ASEAN corporate governance scorecard: Country reports and assessments, 2012-2013 : joint initiative of the ASEAN capital markets forum and the Asian Development Bank. ADB, 2013.

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11

Stilpon, Nestor, ed. Bank boards and the financial crisis: A corporate governance study of the 25 largest European banks. Nestor Advisors, 2009.

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12

Lybek, Tonny. Central bank governance: A survey of boards and management. International Monetary Fund, Monetary and Financial Systems Dept., 2004.

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13

Pohl, Gerhard, and Gerhard Pohl. Banks, capital markets, and corporate governance: Lessons from Russia for Eastern-Europe. World Bank, Europe and Central Asia, and Middle East and North Africa Technical Dept., Private Sector and Finance Team, 1994.

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14

Bies, Susan Schmidt. The role of community bank directors in strengthening corporate governance. Board of Governors of the Federal Reserve System, 2001.

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15

Greuning, Hennie van. Analyzing banking risk: A framework for assessing corporate governance and risk management. 3rd ed. World Bank, 2009.

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16

Greuning, Hennie van. Analyzing banking risk: A framework for assessing corporate governance and risk management. 3rd ed. World Bank, 2009.

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17

Greuning, Hennie van. Analyzing banking risk: A framework for assessing corporate governance and risk management. 3rd ed. World Bank, 2009.

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18

Luengnaruemitchai, Pipat. An anatomy of corporate bond markets: Growing pains and knowledge gains. International Monetary Fund, International Capital Markets Dept., 2005.

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19

Chŏng, Ki-sŭng. Han'guk kŭmyung hoesa chibae kujoron. Pŏmmunsa, 2019.

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20

Abdullah, Mal An. Corporate governance perbankan syariah di Indonesia. Ar-Ruzz Media, 2010.

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21

1955-, Osano Hiroshi, and Tachibanaki Toshiaki 1943-, eds. Banking, capital markets, and corporate governance. Palgrave, 2001.

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22

Chiu, Iris H. Y. The Law on corporate governance in banks. Edited by McKee Michael editor. Edward Elgar Publishing, 2015.

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23

Reddy, Y. R. K., 1949- and Raju B. Yerram 1941-, eds. Corporate governance in banking and finance. Tata McGraw-Hill Pub. Co., 2000.

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24

Sparkassenhistorisches Symposium (2008 Dresden, Germany). Geschäftspolitische Steuerung: Die Sparkassen zwischen Renditeorientierung und Gemeinwohl : Sparkassenhistorisches Symposium 2008, veranstaltet von der Wissenschaftsförderung der Sparkassen-Finanzgruppe e.V. in Zusammenarbeit mit der Ostsächsischen Sparkasse Dresden am 26. September 2008. Deutscher Sparkassenverlag, 2010.

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25

Holle, Arnold. Corporate Governance by Banks in Transition Economies. Deutscher Universitätsverlag, 1998. http://dx.doi.org/10.1007/978-3-322-93369-0.

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26

1947-, Roncaglia Alessandro, and Banca Nazionale del Lavoro, eds. Property, control and corporate governance of banks. Banca Nazionale del Lavoro, 1997.

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27

Banaga, Abdelgadir. External audit and corporate governance in Islamic banks: A joint practitioner-academic research study. Avebury, 1994.

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28

N, Berger Allen, and World Bank, eds. Corporate governance and bank performance: A joint analysis of the static, selection, and dynamic effects of domestic, foreign, and state ownership. World Bank, 2005.

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29

Kang, Jun-Koo. Is bank-centered corporate governance worth it?: A cross-sectional analysis of the performance of Japanese firms during the asset price deflation. National Bureau of Economic Research, 1997.

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30

Kim, Song-Yi. Corporate governance and Korean Bank-ownership: Policy challenges following the 1997 financial crisis. John F. Kennedy School of Government, 2008.

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31

Wingendorf, Christian. Risikopolitik öffentlich-rechtlicher Kreditinstitute: Risikobegrenzung durch Gesellschafts- und Aufsichtsrecht. OlWIR, Oldenburger Verlag für Wirtschaft, Informatik und Recht, 2008.

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32

Pangestu, Mari. The boom, bust, and restructuring of Indonesian banks. International Monetary Fund, Regional Office for Asia and the Pacific, 2002.

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33

E, Gup Benton, ed. Corporate governance in banking: A global perspective. Edward Elgar, 2007.

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34

Podpiera, Richard. Progress in China's banking sector reform: Has bank behavior changed? International Monetary Fund, Monetary and Financial Systems Dept., 2006.

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35

1948-, Frydman Roman, Gray Cheryl Williamson 1954-, Rapaczynski Andrzej 1947-, and Central European University, eds. Corporate governance in Central Europe and Russia. Central European University Press, 1996.

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36

Coyle, Brian. Risk Awareness & Corporate Governance. Global Professional Publishing, 2005.

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37

Bhagat, Sanjai. Financial Crisis, Corporate Governance, and Bank Capital. Cambridge University Press, 2017.

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38

Bhagat, Sanjai. Financial Crisis, Corporate Governance, and Bank Capital. Cambridge University Press, 2017.

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39

Financial Crisis, Corporate Governance, and Bank Capital. Cambridge University Press, 2017.

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40

Armour, John. Bank Governance. Edited by Jeffrey N. Gordon and Wolf-Georg Ringe. Oxford University Press, 2016. http://dx.doi.org/10.1093/oxfordhb/9780198743682.013.48.

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According to a common narrative, the failure of banks in the financial crisis reflected poor corporate governance practices, as well as inadequate prudential regulatory safeguards. Yet it turns out that the “best” governance practices according to ordinary standards were the ones that did worst during the financial crisis. In the period leading up to the financial crisis, it was believed that regulation would cause banks to internalize the costs of their activities, meaning that what maximized bank shareholders’ returns would also be in the interests of society. Consequently, large banks used
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41

Risk awareness and corporate governance. 2nd ed. Institute of Financial Services, 2004.

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42

Anginer, Deniz, Asli Demirguc-Kunt, Harry Huizinga, and Kebin Ma. How Does Corporate Governance Affect Bank Capitalization Strategies? The World Bank, 2013. http://dx.doi.org/10.1596/1813-9450-6636.

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43

Anginer, Deniz, Asli Demirguc-Kunt, Harry Huizinga, and Kebin Ma. Corporate Governance and Bank Insolvency Risk: International Evidence. The World Bank, 2014. http://dx.doi.org/10.1596/1813-9450-7017.

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44

Leruth, Luc E., J. Piesse, and Yougesh Khatri. Corporate Performance and Governance in Malaysia. International Monetary Fund, 2002.

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45

Leruth, Luc E., J. Piesse, and Yougesh Khatri. Corporate Performance and Governance in Malaysia. International Monetary Fund, 2002.

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46

Leruth, Luc E., J. Piesse, and Yougesh Khatri. Corporate Performance and Governance in Malaysia. International Monetary Fund, 2002.

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47

Froneberg, Dennis. Bank Governance Structures and Risk Taking. Lang GmbH, Internationaler Verlag der Wissenschaften, Peter, 2015.

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48

Froneberg, Dennis. Bank Governance Structures and Risk Taking. Lang GmbH, Internationaler Verlag der Wissenschaften, Peter, 2015.

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49

Froneberg, Dennis. Bank Governance Structures and Risk Taking. Lang GmbH, Internationaler Verlag der Wissenschaften, Peter, 2015.

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50

Froneberg, Dennis. Bank Governance Structures and Risk Taking. Lang GmbH, Internationaler Verlag der Wissenschaften, Peter, 2015.

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