A Managerial Approach on Reputational Risks in the Banking Sector under the Effects of Covid-19 Pandemic
Ciprian Manea
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Ciprian Manea: Dunarea de Jos University of Galati, Romania
Economics and Applied Informatics, 2021, issue 1, 32-38
Abstract:
The purpose of this study is to develop an effective approach to reputational risk management in Romanian banks. It is a study that develops a holistic approach to measuring and managing reputation risk. The goal of this paper is to clarify whether in times of crisis the reputation of banks suffers from an FsQCA analysis. This study explores how the causal configurations of antecedent conditions associated with the research model (remote banking applications, crisis-specific legal regulations, crisis-specific cost cuts, and innovative measures applied during this period) have a significant impact on the outcome. expected: if in times of crisis, the reputation of banks suffers
Keywords: Reputational risk; Bank; Compliance; Financial crisis (search for similar items in EconPapers)
Date: 2021
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Persistent link: https://EconPapers.repec.org/RePEc:ddj:fseeai:y:2021:i:1:p:32-38
DOI: 10.35219/eai15840409164
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