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Diversification, size, and risk at bank holding companies. (1995). Strahan, Philip E. ; Demsetz, Rebecca S..
In: Research Paper.
RePEc:fip:fednrp:9506.

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Cited: 7

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Cites: 13

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Cocites: 50

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  1. The Asymmetric Impact of Portfolio Mix on Bank Performance over the Business Cycle: U.S. and Canadian Evidence. (2016). Calms, Christian ; Thoret, Raymond .
    In: Review of Economics & Finance.
    RePEc:bap:journl:160205.

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  2. The Impact of the Global Financial Crisis on Efficiency and Productivity of the Banking System in South Africa. (2013). Ikhide, Sylvanus ; Maredza, Andrew.
    In: Working Papers.
    RePEc:rza:wpaper:328.

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  3. The change in banks product mix, diversification and performance: An application of multivariate GARCH to Canadian data. (2013). Calmès, Christian ; Theoret, Raymond .
    In: RePAd Working Paper Series.
    RePEc:pqs:wpaper:012013.

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  4. Non-interest income and total income stability. (2003). Staikouras, Christos ; Smith, Rosie ; Wood, Geoffrey.
    In: Bank of England working papers.
    RePEc:boe:boeewp:198.

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  5. Product Mix and Earnings Volatility at Commercial Banks: Evidence from a Degree of Total Leverage Model. (2001). Roland, Karin P. ; Deyoung, Robert ; De Young, Robert.
    In: Journal of Financial Intermediation.
    RePEc:eee:jfinin:v:10:y:2001:i:1:p:54-84.

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  6. Product mix and earnings volatility at commercial banks: evidence from a degree of leverage model. (1999). Roland, Karin P. ; Deyoung, Robert ; De Young, Robert.
    In: Working Paper Series.
    RePEc:fip:fedhwp:wp-99-6.

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  7. Safety in numbers? Geographic diversification and bank insolvency risk. (1996). Mester, Loretta ; Hughes, Joseph ; Moon, Choon-Geol ; Lang, William .
    In: Working Papers.
    RePEc:fip:fedpwp:96-14.

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References

References cited by this document

  1. Amihud, Yakov and Baruch Lev. Risk Reduction as a Managerial Motive for Conglomerate Mergers. Bell Journal of Economics 12 (1981), 605-617.

  2. Amihud, Yakov, Jacob Y. Kamin and Joshua Ronen. Managerialism, Ownerism and Risk. Journal of Banking and Finance 7(1983), 189-196.

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  4. Boyd, John 1-i. and Mark Gertler. U.S. Commercial Ranking: Trends, Cycles, and Policy. In NBER Macroeconomics Annual, edited by Olivier Jean Blanchard and Stanley Fischer, pp. 319- 368, Cambridge: The MIT Press, 1993.
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  5. Boyd, John H. and Mark Gertler. Are Banks Dead? Or Are the Reports Greatly Exaggerated? Quarterly Review, Federal Reserve Bank of Minneapolis, Summer 1994.

  6. Demsetz, Rebecca S. and Philip E. Strahan, Historical Patterns and Recent Changes in the Relationship between Rank Size and Risk. Federal Reserve Bank of New York mimeo, 1995.
    Paper not yet in RePEc: Add citation now
  7. Heston, Steven L. and K. Geert Rouwenliorst. Does Industrial Structure Explain the Benefits of International Diversification? Journal of Financial Economics 36 (1994), 3-27.

  8. Kane, Edward J. and Haluk Unal. Change in Market Assessments of Deposit-Institutions Riskiness. Journal of Financial Services Research 1 (1988), 207-229.

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  10. Neuberger, Jonathan. Risk and Return in Banking: Evidence from Bank Stock Returns. Federal Reserve Rank of San Francisco mimeo, 1993.
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  11. Roil, Richard. R12, Journal of Finance XLIII (1988), 541-566.
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  12. Rosenberg, Barr and Philip Perry. The Fundamental Determinants of Risk in Banking. In Risk and Capital Adequacy in Commercial Baflks, edited by Sherman Maisel, pp. 367-407. Chicago: University of Chicago Press, 1981.

  13. Samolyk, Katherine A. U.S. Banking Sector Trends: Assessing Disparities in Industry Performance. Economic Review. Federal Reserve Bank of Cleveland 30:2 (1994), 2- 17.

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