The Theory and Practice of Directors' Remuneration

New Challenges and Opportunities

Business & Finance, Management & Leadership, Leadership, Business Reference
Cover of the book The Theory and Practice of Directors' Remuneration by Alexander Kostyuk, Markus Stiglbauer, Dmitriy Govorun, Emerald Group Publishing Limited
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Author: Alexander Kostyuk, Markus Stiglbauer, Dmitriy Govorun ISBN: 9781785606823
Publisher: Emerald Group Publishing Limited Publication: January 6, 2016
Imprint: Emerald Group Publishing Limited Language: English
Author: Alexander Kostyuk, Markus Stiglbauer, Dmitriy Govorun
ISBN: 9781785606823
Publisher: Emerald Group Publishing Limited
Publication: January 6, 2016
Imprint: Emerald Group Publishing Limited
Language: English

The recent financial crisis has led to a loss of trust in corporate governance and in particular on remuneration practices and the propensity for these to create excessive risk-taking - particularly in the financial sector. The main objective of this book is to outline recent practical and theoretical issues and examine emerging new approaches towards directors' remuneration in the post-crisis period. Written by an established network of international experts, the book provides new data in both cross-sector and cross-country analyses and therefore provides a unique opportunity to compare results and institutional practices across sectors and nations. The book argues for a correct balance between risk and reward and for Directors' compensation to be equitable to all parties and stakeholders. By examining the current theories, practices and regulations and explaining them in detail it provides a state of the art snapshot of one of the key corporate governance issues of our time.It will be essential reading for graduate students, researchers, lecturers and practitioners in corporate governance and auditing as well as all students in finance, accounting, management and law.

View on Amazon View on AbeBooks View on Kobo View on B.Depository View on eBay View on Walmart

The recent financial crisis has led to a loss of trust in corporate governance and in particular on remuneration practices and the propensity for these to create excessive risk-taking - particularly in the financial sector. The main objective of this book is to outline recent practical and theoretical issues and examine emerging new approaches towards directors' remuneration in the post-crisis period. Written by an established network of international experts, the book provides new data in both cross-sector and cross-country analyses and therefore provides a unique opportunity to compare results and institutional practices across sectors and nations. The book argues for a correct balance between risk and reward and for Directors' compensation to be equitable to all parties and stakeholders. By examining the current theories, practices and regulations and explaining them in detail it provides a state of the art snapshot of one of the key corporate governance issues of our time.It will be essential reading for graduate students, researchers, lecturers and practitioners in corporate governance and auditing as well as all students in finance, accounting, management and law.

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