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Reputation of Financial Services Companies: A Factor-Analytic Investigation

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dc.contributor.author Bhat, Anil Kumar
dc.date.accessioned 2023-05-04T09:42:42Z
dc.date.available 2023-05-04T09:42:42Z
dc.date.issued 2015-09
dc.identifier.uri https://papers.ssrn.com/sol3/papers.cfm?abstract_id=2660023
dc.identifier.uri http://dspace.bits-pilani.ac.in:8080/xmlui/handle/123456789/10661
dc.description.abstract This work attempts to relate a company’s financials to its reputation and measure reputation risk of publicly traded financial service companies. This research contributes to a better understanding of reputation risk by getting previous literary works together. In the course of study, variables derived from company’s financials have been investigated using Factor Analysis, which has helped in providing a new perspective to the definition of corporate reputation. Quantitative and qualitative hypotheses have also been formulated, tested and explained using previous research work. The study can be seen as another step towards quantification of the term reputation. The study recommends that inclusion of company’s financial data helps in studying corporate reputation quantitatively, and a hybrid type analysis that combines both investor’s perspective and financials is an effective way to measure reputation. en_US
dc.language.iso en en_US
dc.publisher IUP en_US
dc.subject Management en_US
dc.subject Analytic Investigation en_US
dc.title Reputation of Financial Services Companies: A Factor-Analytic Investigation en_US
dc.type Article en_US


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