{"created":"2023-05-15T15:27:56.609937+00:00","id":16953,"links":{},"metadata":{"_buckets":{"deposit":"52c87620-dc43-4c6b-9eef-6c5a7be2414e"},"_deposit":{"created_by":3,"id":"16953","owners":[3],"pid":{"revision_id":0,"type":"depid","value":"16953"},"status":"published"},"_oai":{"id":"oai:sucra.repo.nii.ac.jp:00016953","sets":["85:358:389"]},"author_link":["27745"],"item_120_alternative_title_1":{"attribute_name":"タイトル(別言語)","attribute_value_mlt":[{"subitem_alternative_title":"The Importance of Risk Management and Governance of Japanese Regional Banks in order to Enhance Shareholder Value"}]},"item_120_biblio_info_8":{"attribute_name":"書誌情報","attribute_value_mlt":[{"bibliographicIssueDates":{"bibliographicIssueDate":"2012","bibliographicIssueDateType":"Issued"},"bibliographicPageEnd":"49","bibliographicPageStart":"35","bibliographicVolumeNumber":"135","bibliographic_titles":[{"bibliographic_title":"社会科学論集"},{"bibliographic_title":"SHAKAIKAGAKU-RONSHU (The Social Science Review)","bibliographic_titleLang":"en"}]}]},"item_120_date_31":{"attribute_name":"作成日","attribute_value_mlt":[{"subitem_date_issued_datetime":"2012-05-16","subitem_date_issued_type":"Created"}]},"item_120_description_19":{"attribute_name":"概要","attribute_value_mlt":[{"subitem_description":"Japanese regional banks are expected to exercise their financing functions as well as their consulting functions based on risk management in order to contribute to the development of regional economies.\nFirst, this paper analyzes how Japanese regional banks set up management strategies and risk management policies in a consistent way, providing their four patterns of Japanese companies.\nSecond, it reviews the risk management methods based on Basel I and Basel II, which enhance regional banks’ controlling of market, credit and operational risks effectively and efficiently. It also makes an analysis of the role of corporate governance, given the increase in foreigners’ share of stocks of regional banks.\nFinally, it makes a positive analysis that high levels of risk management methods in Basel I and II, and strong corporate governance (the share of foreigners relative to regional banks’ equities) contribute to higher shareholders values.","subitem_description_type":"Other"}]},"item_120_description_29":{"attribute_name":"資源タイプ","attribute_value_mlt":[{"subitem_description":"text","subitem_description_type":"Other"}]},"item_120_description_30":{"attribute_name":"フォーマット","attribute_value_mlt":[{"subitem_description":"application/pdf","subitem_description_type":"Other"}]},"item_120_identifier_registration":{"attribute_name":"ID登録","attribute_value_mlt":[{"subitem_identifier_reg_text":"10.24561/00016947","subitem_identifier_reg_type":"JaLC"}]},"item_120_publisher_11":{"attribute_name":"出版者名","attribute_value_mlt":[{"subitem_publisher":"埼玉大学経済学会"}]},"item_120_publisher_12":{"attribute_name":"出版者名(別言語)","attribute_value_mlt":[{"subitem_publisher":"The Economics Society of Saitama University"}]},"item_120_source_id_14":{"attribute_name":"ISSN","attribute_value_mlt":[{"subitem_source_identifier":"05597056","subitem_source_identifier_type":"ISSN"}]},"item_120_text_27":{"attribute_name":"版","attribute_value_mlt":[{"subitem_text_value":"[出版社版]"}]},"item_120_text_3":{"attribute_name":"著者 ローマ字","attribute_value_mlt":[{"subitem_text_value":"HIWATASHI, Junji"}]},"item_120_text_32":{"attribute_name":"アイテムID","attribute_value_mlt":[{"subitem_text_value":"KY-AN00109186-135-03"}]},"item_120_text_4":{"attribute_name":"著者 所属","attribute_value_mlt":[{"subitem_text_value":"多摩大学客員教授"}]},"item_120_text_9":{"attribute_name":"年月次","attribute_value_mlt":[{"subitem_text_value":"2012-3"}]},"item_120_version_type_28":{"attribute_name":"著者版フラグ","attribute_value_mlt":[{"subitem_version_resource":"http://purl.org/coar/version/c_970fb48d4fbd8a85","subitem_version_type":"VoR"}]},"item_creator":{"attribute_name":"著者","attribute_type":"creator","attribute_value_mlt":[{"creatorNames":[{"creatorName":"樋渡, 淳二"},{"creatorName":"ヒワタシ, ジュンジ","creatorNameLang":"ja-Kana"}],"nameIdentifiers":[{}]}]},"item_files":{"attribute_name":"ファイル情報","attribute_type":"file","attribute_value_mlt":[{"accessrole":"open_date","date":[{"dateType":"Available","dateValue":"2018-01-24"}],"displaytype":"detail","filename":"KY-AN00109186-135-03.pdf","filesize":[{"value":"523.8 kB"}],"format":"application/pdf","licensetype":"license_note","mimetype":"application/pdf","url":{"label":"KY-AN00109186-135-03.pdf","url":"https://sucra.repo.nii.ac.jp/record/16953/files/KY-AN00109186-135-03.pdf"},"version_id":"109c4f64-e006-4ee6-87af-d9bb02729698"}]},"item_keyword":{"attribute_name":"キーワード","attribute_value_mlt":[{"subitem_subject":"Risk Management","subitem_subject_scheme":"Other"},{"subitem_subject":"Governance","subitem_subject_scheme":"Other"},{"subitem_subject":"Enhancing Shareholder Values","subitem_subject_scheme":"Other"}]},"item_language":{"attribute_name":"言語","attribute_value_mlt":[{"subitem_language":"jpn"}]},"item_resource_type":{"attribute_name":"資源タイプ","attribute_value_mlt":[{"resourcetype":"departmental bulletin paper","resourceuri":"http://purl.org/coar/resource_type/c_6501"}]},"item_title":"地域銀行におけるリスク管理高度化・ガバナンス・経営基盤と株主価値の関係《研究ノート》","item_titles":{"attribute_name":"タイトル","attribute_value_mlt":[{"subitem_title":"地域銀行におけるリスク管理高度化・ガバナンス・経営基盤と株主価値の関係《研究ノート》"}]},"item_type_id":"120","owner":"3","path":["389"],"pubdate":{"attribute_name":"公開日","attribute_value":"2012-05-16"},"publish_date":"2012-05-16","publish_status":"0","recid":"16953","relation_version_is_last":true,"title":["地域銀行におけるリスク管理高度化・ガバナンス・経営基盤と株主価値の関係《研究ノート》"],"weko_creator_id":"3","weko_shared_id":-1},"updated":"2023-05-15T18:34:21.191199+00:00"}