Bank Size, Income Composition and Earning Volatility
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- Type
- article
- Published
- 2008-01-01
- Cited by
- 1
- References
- 10
- OpenAlex
- https://openalex.org/W97796498
- Semantic Scholar
- https://api.semanticscholar.org/CorpusID:166565174
Keywords
Volatility (finance), Monetary economics, Economics, Volatility risk premium, Panel data
References
- Product mix and earnings volatility at commercial banks: evidence from a degree of leverage model
- Foundations of the Structure-Conduct-Performance Paradigm in Banking
- Bank-Specific, Industry-Specific and Macroeconomic Determinants of Bank Profitability
- Evidence on the (Non) Relationship between Concentration and Profitability in Banking
- Industry Structure, Market Rivalry, and Public Policy
- Bank Size, Credit and the Sources of Bank Market Risk
- Framework for the Assessment of Bank Earnings
- Information Production and Capital Allocation: Decentralized vs. Hierarchical Firms
- The Gains and Losses from Industrial Concentration
- Does Function Follow Organizational Form? Evidence from the Lending Practices of Large and Small Banks
- The Gains and Losses From Industrial Concentration
- Bank size, credit and the sources of bank market risk
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