lnu.sePublikationer
Driftmeddelande
För närvarande är det driftstörningar. Felsökning pågår.
Ändra sökning
RefereraExporteraLänk till posten
Permanent länk

Direktlänk
Referera
Referensformat
  • apa
  • ieee
  • modern-language-association-8th-edition
  • vancouver
  • Annat format
Fler format
Språk
  • de-DE
  • en-GB
  • en-US
  • fi-FI
  • nn-NO
  • nn-NB
  • sv-SE
  • Annat språk
Fler språk
Utmatningsformat
  • html
  • text
  • asciidoc
  • rtf
Changing the game - financial crisis, the Swedish financial supervisory authority and reward systems in Swedish banks
University of Gothenburg.
University of Gothenburg.
University of Gothenburg.ORCID-id: 0009-0005-6282-195X
2013 (Engelska)Ingår i: International Journal of Finance and Accounting, ISSN 2168-4812, E-ISSN 2168-4820, Vol. 2, nr 1, s. 24-29Artikel i tidskrift (Övrigt vetenskapligt) Published
Abstract [en]

As a consequence of the financial crisis new regulations initiated by organizations such as the Committee of European Banking Supervisors were imposed. The regulation aims to create a stable financial system where compensation is based on longer term with lower risk structure as a result. This paper describes how Sweden’s four largest banks have worked with the implementation of the regulation, especially when it comes to reward systems. Since the aim of the paper is to understand how the banks worked with the implementation semi-structured interviews were conducted with leading HRM managers in the banks. Written documentations and news material was also a part of the empirical material. Findings show that the majority of banks welcomed the regulation itself and in some cases the reward systems have been changed, especially when it comes to monetary incentives. Banks that previously had problems with short-term thinking has been positively affected by the changes, while banks that previously worked in accordance with the long-term thinking and low risk structure, have been affected to a lesser extent. One major conclusion is that the regulations are needed in order to handle risk management levels.

Ort, förlag, år, upplaga, sidor
2013. Vol. 2, nr 1, s. 24-29
Nyckelord [en]
Financial Crisis, Reward Systems, Banks
Nationell ämneskategori
Företagsekonomi
Forskningsämne
Ekonomi, Företagsekonomi
Identifikatorer
URN: urn:nbn:se:lnu:diva-60383DOI: 10.5923/j.ijfa.20130201.04OAI: oai:DiVA.org:lnu-60383DiVA, id: diva2:1070137
Tillgänglig från: 2017-01-31 Skapad: 2017-01-31 Senast uppdaterad: 2025-04-29Bibliografiskt granskad

Open Access i DiVA

Fulltext saknas i DiVA

Övriga länkar

Förlagets fulltext

Person

Bredmar, Krister

Sök vidare i DiVA

Av författaren/redaktören
Bredmar, Krister
I samma tidskrift
International Journal of Finance and Accounting
Företagsekonomi

Sök vidare utanför DiVA

GoogleGoogle Scholar

doi
urn-nbn

Altmetricpoäng

doi
urn-nbn
Totalt: 201 träffar
RefereraExporteraLänk till posten
Permanent länk

Direktlänk
Referera
Referensformat
  • apa
  • ieee
  • modern-language-association-8th-edition
  • vancouver
  • Annat format
Fler format
Språk
  • de-DE
  • en-GB
  • en-US
  • fi-FI
  • nn-NO
  • nn-NB
  • sv-SE
  • Annat språk
Fler språk
Utmatningsformat
  • html
  • text
  • asciidoc
  • rtf