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The Markets View on the Probability of Banking Sector Failure: Cross-Country Comparisons. (2003). Byström, Hans.
In: Research Paper Series.
RePEc:uts:rpaper:93.

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  1. Where is the cheese ? synthesizing a giant literature on causes and consequences of financial sector development. (2013). Pasali, Selahattin Selsah .
    In: Policy Research Working Paper Series.
    RePEc:wbk:wbrwps:6655.

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References

References cited by this document

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  3. Demirgüç-Kunt, A. and E. Detragiache, 1999, Does Deposit Insurance Increase Banking System Stability? An Empirical Investigation, World Bank Policy Research Working Paper 2247.

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  5. FTSE, 2002, The FTSE All-World Index, www.ftse.com.
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  6. Hall, S.G. and Miles, D.K., 1990, Measuring the Risk of Financial Institutions Portfolios: Some Suggestions for Alternative Techniques Using Stock Prices. In: Henry, S.G.B., Patterson, K.D. (Eds.), Economic Modelling at the Bank of England. Chapman and Hall.
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  7. LaPorta, R., F. Lopez-de-Silanes, A. Schleifer and R.W. Vishny, 1998, Law and Finance, Journal of Political Economy, 106:6, 1113-1155.

  8. Lintner, J., 1965, The Valuation of Risk Assets and the Selection of Risky Investments in Stock Portfolios and Capital Budgets, Review of Economics and Statistics 47, 13-37.
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  9. Sharpe, W. F., 1964, Capital Asset Prices: a Theory of Market Equilibrium under Conditions of Risk, Journal of Finance 19, 425-442.

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    In: Research Paper Series.
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