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Country risk, portfolio decisions and regulation in international bank lending

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  • Walter, Ingo

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  • Walter, Ingo, 1981. "Country risk, portfolio decisions and regulation in international bank lending," Journal of Banking & Finance, Elsevier, vol. 5(1), pages 77-92, March.
  • Handle: RePEc:eee:jbfina:v:5:y:1981:i:1:p:77-92
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    Cited by:

    1. Niepmann, Friederike, 2015. "Banking across borders," Journal of International Economics, Elsevier, vol. 96(2), pages 244-265.
    2. So, Jacky C. & Nyerges, Richard T., 1995. "International loans and the risk-return behavior of commercial banks: Some evidence from the capital market," Global Finance Journal, Elsevier, vol. 6(2), pages 135-153.
    3. Claudia M. Buch, 2000. "Capital Market Integration in Euroland: The Role of Banks," German Economic Review, Verein für Socialpolitik, vol. 1(4), pages 443-464, November.
    4. Drew Dahl & Andrew Logan, 2005. "The exposure of international bank loans to third-country risk: an empirical analysis of overdue claims," Bank of England working papers 247, Bank of England.
    5. Alin Opreana & Simona Vinerean & Diana Marieta Mihaiu & Liliana Barbu & Radu-Alexandru Șerban, 2023. "Fuzzy Analytic Network Process with Principal Component Analysis to Establish a Bank Performance Model under the Assumption of Country Risk," Mathematics, MDPI, vol. 11(14), pages 1-38, July.
    6. Schmidt, Reinhart, 1984. "Analyse der Länderverschuldung aus der Sicht der international tätigen Bank," Manuskripte aus den Instituten für Betriebswirtschaftslehre der Universität Kiel 153, Christian-Albrechts-Universität zu Kiel, Institut für Betriebswirtschaftslehre.

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