""Contents""; ""List of Figures""; ""List of Tables""; ""Part I: Introduction""; ""1 Introduction""; ""Part II: Size in European Banking""; ""2 Bank Systemic Size and Systemic Crises""; ""3 Increases in Size and Bank Default Risk: Evidence from European Bank Mergers""; ""Part III: Risk in European Banking""; ""4 The Trends and Composition of Banking Risk across Europe""; ""5 The Determinants of European Bank Exposure to Systemic Shocks""; ""Part IV: Corporate Governance in European Banking""; ""6 Board Monitoring, Regulation, and Performance in the European Banking Industry""
""7 Executive Pay and Risk-taking in the European Banking Industry""""8 Systemic Risk Potential and Opacity in European Banks""; ""Part V: Conclusions and Implications for the Re-regulation of European Banking""; ""9 Conclusions""; ""References""; ""Index""; ""A""; ""B""; ""C""; ""D""; ""E""; ""F""; ""G""; ""H""; ""I""; ""L""; ""M""; ""N""; ""O""; ""P""; ""R""; ""S""; ""T""; ""U""; ""V""
Summary
This work assesses the policy and regulatory issues surrounding European banking in the aftermath of the financial crisis looking at size, risk and governance of banks
Bibliography
Includes bibliographical references (pages 239-255) and index