Keywords: G30
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Journal Articles
Journal Articles
Journal Articles
Journal Articles
Journal of Risk Finance (2021) 22 (3-4): 209–239.
Published: 23 July 2021
... strategy and therefore not compressible and in any case not attributable to mismanagement or moral hazard. Banking industry Credit monitoring Stochastic frontier Italian banks Lending inefficiency C14 C33 G21 G30 We propose a new approach to the study of the performance of the credit...
Journal Articles
Journal of Risk Finance (2016) 17 (4): 374–389.
Published: 15 August 2016
... institutions. G01 G21 G30 Financial crisis Bank risk-taking Systemic risk Bank valuation © Emerald Group Publishing Limited 2016 Emerald Group Publishing Limited Licensed re-use rights only 19 05 2016 17 07 2016 18 07 2016 Sascha Strobl can be contacted...

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