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The Place of Risk Management in Financial Institutions. (1997). Santomero, Anthony M. ; Oldfield, George S..
In: Center for Financial Institutions Working Papers.
RePEc:wop:pennin:95-05.

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Cocites: 43

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  1. Impact of Risk Management on the Performance of Commercial Banks in Ghana: A Panel Regression Approach. (2023). Maposa, Daniel ; Mensah, Eric Teye ; Boateng, Alexander ; von Tamakloe, Bismark.
    In: JRFM.
    RePEc:gam:jjrfmx:v:16:y:2023:i:7:p:322-:d:1188316.

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  2. Developments in Risk Management in Islamic Finance: A Review. (2019). Bhatti, Muhammad ; al Rahahleh, Naseem ; Misman, Faridah Najuna.
    In: JRFM.
    RePEc:gam:jjrfmx:v:12:y:2019:i:1:p:37-:d:207447.

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  3. Liquidity Management and The Islamic Bank Financing Constraints. (2017). Abu, Mohd Afandi ; Malek, Abdul ; Kamsi, Nor Samsinar ; Abd, Farrah Dina ; Nasir, Noormahayu Mohd.
    In: International Journal of Academic Research in Business and Social Sciences.
    RePEc:hur:ijarbs:v:7:y:2017:i:12:p:127-138.

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  4. Information content of analyst recommendations in the banking industry. (2017). Garcia-Feijoo, Luis ; Madura, Jeff ; Premti, Arjan .
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:49:y:2017:i:c:p:35-47.

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  5. Risk management of the Vietnamese banking system: A market research survey. (2016). Stewart, Chris ; Nguyen, Thao Ngoc ; Matousek, Roman.
    In: Economics Discussion Papers.
    RePEc:ris:kngedp:2016_010.

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  6. Influence of disclosure and governance on risk of US financial services firms following Sarbanes-Oxley. (2008). Akhigbe, Aigbe ; Martin, Anna D..
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:32:y:2008:i:10:p:2124-2135.

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  7. Modeling international investment decisions for financial holding companies. (2007). Trappey, Charles V. ; Shih, Tsui-Yii ; Trappey, Amy J. C., .
    In: European Journal of Operational Research.
    RePEc:eee:ejores:v:180:y:2007:i:2:p:800-814.

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  8. Valuation impact of Sarbanes-Oxley: Evidence from disclosure and governance within the financial services industry. (2006). Akhigbe, Aigbe ; Martin, Anna D..
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:30:y:2006:i:3:p:989-1006.

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  9. A Proposal for the Governance of Financial Regulation and Supervision in Europe. (2005). Kammel, Armin J..
    In: Vierteljahrshefte zur Wirtschaftsforschung / Quarterly Journal of Economic Research.
    RePEc:diw:diwvjh:74-4-12.

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  10. Financial Regulation and Supervision in the Euro Area: A Four-Peak Proposal. (2001). Di Giorgio, Giorgio ; Di Noia, Carmine .
    In: Center for Financial Institutions Working Papers.
    RePEc:wop:pennin:01-02.

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  11. Financial Market Regulation: The Case of Italy and a Proposal for the Euro Area. (2000). Di Giorgio, Giorgio ; Di Noia, Carmine ; Piatti, Laura .
    In: Center for Financial Institutions Working Papers.
    RePEc:wop:pennin:00-24.

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  12. How Relevant is Volatility Forecasting for Financial Risk Management?. (1997). Diebold, Francis ; Christoffersen, Peter.
    In: Center for Financial Institutions Working Papers.
    RePEc:wop:pennin:97-45.

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  13. Commercial Bank Risk Management: An Analysis of the Process. (1997). Santomero, Anthony M..
    In: Center for Financial Institutions Working Papers.
    RePEc:wop:pennin:95-11.

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  14. Commercial Bank Risk Management: An Analysis of the Process. (1997). Santomero, Anthony.
    In: Journal of Financial Services Research.
    RePEc:kap:jfsres:v:12:y:1997:i:2:p:83-115.

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  15. The theory of financial intermediation. (1997). Allen, Franklin ; Santomero, Anthony M..
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:21:y:1997:i:11-12:p:1461-1485.

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References

References cited by this document

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  7. Herring, R.J. and A.M. Santomero (1991) The Role of Financial Structure In Economic Performance, SNS Publishing, Stockholm.
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  22. Santomero, A.M. (1988) The Intermediation Process and the Future of Thrifts, in Expanded Competitive Markets and the Thrift Industry, pp. 187-99, Federal Home Loan Bank Board of San Francisco.
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  29. Stulz, R., (1984) Optimal Hedging Policies, Journal of Financial and Quantitative Analysis 19(2): 127-40, June.

  30. Treynor, Jack L., (1966) How to Rate Management Investment Funds. Harvard Business Review 43.
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