Bank Earnings Management and Tail Risk During the Financial Crisis

Bank Earnings Management and Tail Risk During the Financial Crisis
Author :
Publisher :
Total Pages : 44
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ISBN-10 : OCLC:1308956704
ISBN-13 :
Rating : 4/5 (04 Downloads)

Book Synopsis Bank Earnings Management and Tail Risk During the Financial Crisis by : Lee J. Cohen

Download or read book Bank Earnings Management and Tail Risk During the Financial Crisis written by Lee J. Cohen and published by . This book was released on 2014 with total page 44 pages. Available in PDF, EPUB and Kindle. Book excerpt: We show that a pattern of earnings management in bank financial statements has little bearing on downside risk during quiet periods, but seems to have a big impact during a financial crisis. More aggressive earnings managers prior to 2007 exhibit substantially higher risk once the financial crisis begins. This risk is evident in both the incidence of large weekly stock price “crashes” as well as in the pattern of full-year returns. Consistent with the literature on earnings management and crash risk in industrial firms, these results support the hypothesis that banks can use accounting discretion to hide relevant information for some time, but in a period of severe distress in which accounting choices can no longer obscure performance, information comes out in larger amounts, resulting in substantially worse stock market returns. We also show that these stock price crashes predict future deterioration in operating performance, which is of greater direct relevance to regulators, and thus may serve as an early warning signal of impending problems.


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