Risk-adjusted performance measures at bank holding companies with section 20 subsidiaries
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Cited by:
- Mark Wahrenburg, 2010. "Risikomanagement und Diversifikation in der Finanzindustrie — Eine akademische Perspektive," Schmalenbach Journal of Business Research, Springer, vol. 62(61), pages 1-17, January.
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Keywords
Bank holding companies; Risk management;NEP fields
This paper has been announced in the following NEP Reports:- NEP-FIN-2005-12-01 (Finance)
- NEP-FMK-2005-12-01 (Financial Markets)
- NEP-RMG-2005-12-01 (Risk Management)
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