04810nam 2201201z- 450 991055761430332120240418220125.0(CKB)5400000000045259(oapen)https://directory.doabooks.org/handle/20.500.12854/79653(EXLCZ)99540000000004525920202203d2022 |y 0engurmn|---annantxtrdacontentcrdamediacrrdacarrierBank Management, Finance and SustainabilityBaselMDPI - Multidisciplinary Digital Publishing Institute20221 electronic resource (290 p.)3-0365-3332-X 3-0365-3331-1 This book comprises a collection of empirical and theoretical studies covering a wide range of themes related to bank management, finance and sustainability. Sustainability represents an opportunity for banks as it contributes to improvements in trust in the banking system. However, sustainable business models must be financially viable so that they can have a positive impact on banks’ profitability, stimulating the long-term growth and resilience of the banking industry and overall financial stability.Banks are widely acknowledged as playing a crucial role in achieving the Sustainable Development Goals (SDGs), as they can promote responsible investments and integrate environmental and social criteria into lending and investment strategies. Financial intermediaries can support projects and activities that create a measurable positive economic, social and environmental impact by providing easier access to capital. Furthermore, they can have an active role in improving the financial awareness, inclusion and resilience of the most vulnerable individuals in society.Coins, banknotes, medals, seals (numismatics)bicsscfirm’s financial performancesustainability practicesIslamic corporate governancemobile moneySMEsfinancial performancepayments and receiptsDouala, Cameroonhuman capitalsocial capitalcredit availabilitypropensity score matchingChinarisk tolerancerisk aversionrisk-takingMiFID IIMiFIRsuitability assessmenthouseholdsrisky financial assetsfinancial institutionsfinancial advisoryportfolio managementfinancial constraintssustainable developmentownership structurestate subsidiesformer communist blocinstitutional environmentfinancial systemcorporate social responsibilityCSR ratingbank loan spreadEuropean syndicated loan marketcontent analysisethical bankingglobal financial crisishierarchical cluster analysisinductive category developmentin-depth interviewssocial bankingsocially responsible investmentenvironmental performanceclimate changegender diversityboard of directorsbanking sectorexternal supportenvironmental practicesresource efficiencysustainable entrepreneurshipfirm sizefinancial knowledgeoverconfidenceunderconfidencesustainable financial behaviorfinancial market participationinvestment fraudover-indebtednessethical financial companiesESGsustainable development goals (SDGs)bank efficiencybank coststochastic frontier analysisstochastic metafrontier analysishigh-net-worth individuals (HNWIs)qualitative researchreference group theorysocially responsible investing (SRI)Coins, banknotes, medals, seals (numismatics)Aristei Davidedt1303481Gallo ManuelaedtAristei DavidothGallo ManuelaothBOOK9910557614303321Bank Management, Finance and Sustainability3027099UNINA