This chapter analyzes the case study of Goldman Sachs, highlighting the possible internal and environmental determinants of reputational risk. In particular, the chapter focuses on corporate social responsibility, corporate governance, remuneration policies, stakeholder engagement, quantitative indicators of the bank’s financial statements, dynamics of the share price and deepens the impact of administrative or judicial inquiries and the dissemination of negative news through the media on the credit ratings and reputation of Goldman Sachs.
CITATION STYLE
Pacelli, V. (2016). The case study of goldman sachs. In Managing Reputation in the Banking Industry: Theory and Practice (pp. 79–99). Springer International Publishing. https://doi.org/10.1007/978-3-319-28256-5_4
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