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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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  1. Do non-interest income activities matter for banking sector efficiency? A net interest margin perspective. (2024). Semenova, Maria ; Adesina, Kolade Sunday.
    In: Applied Econometrics.
    RePEc:ris:apltrx:0491.

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  2. Bank business model identification evolution and outcomes evidence for South Africa. (2024). Nguyen, Linh ; Kgari, Lechedzani ; Sobiech, Anna.
    In: Working Papers.
    RePEc:rbz:wpaper:11059.

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  3. Diversification and bank stability: Role of political instability and climate risk. (2024). Shahab, Yasir ; Jiang, Ping ; Shabir, Mohsin ; Mehroush, Iqra ; Iik, Ozcan ; Wang, Wenhao.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:89:y:2024:i:pb:p:63-92.

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  4. ESG activity and bank lending during financial crises. (2024). TARAZI, Amine ; Danisman, Gamze Ozturk.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:70:y:2024:i:c:s1572308923001067.

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  5. The impact of revenue diversification on profitability, capital, and risk in US banks by size. (2024). Schreiber, Ben Z.
    In: The North American Journal of Economics and Finance.
    RePEc:eee:ecofin:v:69:y:2024:i:pa:s1062940823001237.

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  6. The impact of payday alternative loans on credit union performance and loan quality. (2024). Goenner, Cullen.
    In: Journal of Consumer Affairs.
    RePEc:bla:jconsa:v:58:y:2024:i:2:p:558-586.

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  7. Income diversification patterns and their impact on bank risk. (2024). Bansal, Aanchal ; Kaur, Parneet.
    In: Australian Economic Papers.
    RePEc:bla:ausecp:v:63:y:2024:i:4:p:570-593.

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  10. Bank distress in the European Union 2008–2015: A closer look at capital, size and revenue diversification. (2023). Martzoukos, Spiros ; Ioannou, Panagiotis ; Markoulis, Stelios.
    In: International Journal of Finance & Economics.
    RePEc:wly:ijfiec:v:28:y:2023:i:1:p:792-820.

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  11. What do we know about the impact of income diversification on bank performance? A systematic literature review. (2023). Zoghlami, Faten ; Zouaoui, Haykel.
    In: Journal of Banking Regulation.
    RePEc:pal:jbkreg:v:24:y:2023:i:3:d:10.1057_s41261-022-00201-8.

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  12. Cross-Border Bank Flows and Systemic Risk*. (2023). Taboada, Alvaro G ; Sedunov, John ; Karolyi, Andrew G.
    In: Review of Finance.
    RePEc:oup:revfin:v:27:y:2023:i:5:p:1563-1614..

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  13. The impact of organizational culture on bank stability. (2023). Thi, Loan Quynh ; Vu, Kieu Trang ; Mai, Lan Thi ; Luu, Hiep Ngoc.
    In: Review of Quantitative Finance and Accounting.
    RePEc:kap:rqfnac:v:61:y:2023:i:2:d:10.1007_s11156-023-01155-2.

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  14. Management customer complaints and performance: banks, be careful!. (2023). Stefanelli, Valeria ; Cotugno, Matteo.
    In: Journal of Management & Governance.
    RePEc:kap:jmgtgv:v:27:y:2023:i:1:d:10.1007_s10997-021-09616-3.

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  15. Business model contributions to bank profit performance: A machine learning approach. (2023). Lozano-Vivas, Ana ; Duran, Miguel ; Bolivar, Fernando.
    In: Research in International Business and Finance.
    RePEc:eee:riibaf:v:64:y:2023:i:c:s0275531922002562.

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  16. Understanding growth and its policy implications for Canadian credit unions. (2023). Mamun, Abdullah.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:86:y:2023:i:c:p:652-665.

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  17. Banking in the MENA region: The pro-active role of financial and economic freedom. (2023). HAMDI, Helmi ; Khemiri, Mohamed Ali ; Hakimi, Abdelaziz.
    In: Journal of Policy Modeling.
    RePEc:eee:jpolmo:v:45:y:2023:i:5:p:1058-1076.

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  18. How does non-interest income affect bank credit risk? Evidence before and during the COVID-19 pandemic. (2023). de Luca, Francesco ; Mehmood, Asad.
    In: Finance Research Letters.
    RePEc:eee:finlet:v:53:y:2023:i:c:s1544612323000314.

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  19. Loan and financing diversification and bank stability in dual-banking systems. (2023). Šeho, Mirzet ; Ghafoor, Abdul ; Mohsen, Mohammed Sharaf.
    In: Finance Research Letters.
    RePEc:eee:finlet:v:51:y:2023:i:c:s1544612322005724.

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  20. The dark side of bank FinTech: Evidence from a transition economy. (2023). Cheng, Maoyong ; Guo, Pin ; Geng, Hongyan.
    In: Economic Analysis and Policy.
    RePEc:eee:ecanpo:v:80:y:2023:i:c:p:1811-1830.

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  21. CEO network centrality and bank risk: Evidence from US Bank holding companies. (2023). Jin, Pengcheng ; Jiang, Yuxiang ; Fan, Yaoyao ; Mai, Yong.
    In: Journal of Corporate Finance.
    RePEc:eee:corfin:v:83:y:2023:i:c:s0929119923001505.

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  22. Local religious beliefs and bank risk-taking. (2023). Li, Jiayan ; Abakah, Alex Annan.
    In: Journal of Behavioral and Experimental Finance.
    RePEc:eee:beexfi:v:40:y:2023:i:c:s2214635023000709.

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  23. A CEOs expertise power and bank diversification. (2023). Nadeem, Muhammad ; Gan, Christopher ; Ali, Maisam.
    In: Accounting and Finance.
    RePEc:bla:acctfi:v:63:y:2023:i:4:p:3815-3840.

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  24. The evolution of bank fees as a source of income: trends and new business models – evidence from Italy. (2023). Santioni, Raffaele ; D'Amato, Matteo ; Affinito, Massimiliano.
    In: Questioni di Economia e Finanza (Occasional Papers).
    RePEc:bdi:opques:qef_777_23.

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  25. .

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  26. Dynamics of diversification and banks risk?taking and stability: Empirical analysis of commercial banks. (2022). Ali, Shoaib ; Abbas, Faisal.
    In: Managerial and Decision Economics.
    RePEc:wly:mgtdec:v:43:y:2022:i:4:p:1000-1014.

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  27. Interest rate uncertainty and the predictability of bank revenues. (2022). Sensoy, Ahmet ; GUPTA, RANGAN ; Demirer, Riza ; Cepni, Oguzhan.
    In: Journal of Forecasting.
    RePEc:wly:jforec:v:41:y:2022:i:8:p:1559-1569.

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  28. The determinants of banks credit risk: Review of the literature and future research agenda. (2022). Lahrichi, Younes ; Naili, Maryem.
    In: International Journal of Finance & Economics.
    RePEc:wly:ijfiec:v:27:y:2022:i:1:p:334-360.

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  29. Impact of income diversification on the business performance of Vietnamese commercial banks. (2022). Hoang, Thi Thanh ; Nguyen, Trong Tai ; Phan, Duong Thuy.
    In: Cogent Business & Management.
    RePEc:taf:oabmxx:v:9:y:2022:i:1:p:2132592.

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  30. Credit allocation and the financial crisis: evidence from Spanish companies. (2022). Alfarano, Simone ; Teglio, Andrea ; Petrovi, Marko.
    In: Journal of Economic Interaction and Coordination.
    RePEc:spr:jeicoo:v:17:y:2022:i:4:d:10.1007_s11403-022-00361-w.

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  31. Non-interest Income and Profitability: A Case of Pakistani Banks. (2022). Javaid, Shahid Hussain.
    In: MPRA Paper.
    RePEc:pra:mprapa:117425.

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  32. Bank Performance and Noninterest Income: Evidence from Countries in the Asian Region. (2022). Karnik, Ajit ; Antao, Sherika.
    In: Asia-Pacific Financial Markets.
    RePEc:kap:apfinm:v:29:y:2022:i:3:d:10.1007_s10690-021-09357-1.

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  33. Competition, cost efficiency and stability of banks in the MENA region. (2022). Mansour, Rana ; el Moussawi, Chawki.
    In: The Quarterly Review of Economics and Finance.
    RePEc:eee:quaeco:v:84:y:2022:i:c:p:143-170.

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  34. The evolution of bank revenue and risk in the Asia-Pacific Region. (2022). Williams, Barry ; Rajaguru, Gulasekaran.
    In: Pacific-Basin Finance Journal.
    RePEc:eee:pacfin:v:71:y:2022:i:c:s0927538x21002006.

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  35. Income diversification and bank performance nexus: Does corruption matter?. (2022). Twumasi, Martinson Ankrah ; Gyimah, Adjei Gyamfi ; Tang, Wenjin ; Addai, Bismark.
    In: Journal of Multinational Financial Management.
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  36. The multiple dimensions of bank complexity: Effects on credit risk-taking. (2022). Nobili, Andrea ; Marinelli, Giuseppe ; Palazzo, Francesco.
    In: Journal of Banking & Finance.
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  37. The Trilogy of Ownership, Income Diversification, and Performance Nexus: Empirical Evidence from Tunisian Banks. (2022). Grira, Jocelyn ; Kahloul, Ines ; Alouane, Nour.
    In: Finance Research Letters.
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  38. The risk–return relation in the corporate loan market. (2022). Duran, Miguel.
    In: The North American Journal of Economics and Finance.
    RePEc:eee:ecofin:v:60:y:2022:i:c:s1062940822000043.

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  39. Monetary policy and bank performance: The role of business models. (2022). Huynh, Japan ; Dang, Van Dan.
    In: The North American Journal of Economics and Finance.
    RePEc:eee:ecofin:v:59:y:2022:i:c:s1062940821002011.

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  40. Bank liquidity creation under micro uncertainty: The conditioning role of income structure. (2022). Dang, Van Dan.
    In: Economic Modelling.
    RePEc:eee:ecmode:v:112:y:2022:i:c:s0264999322000980.

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  41. Bank–client cross?ownership of bank stocks: A network analysis. (2022). Lee, Kangbok ; Joo, Sunghoon ; Barth, James R.
    In: Journal of Financial Research.
    RePEc:bla:jfnres:v:45:y:2022:i:2:p:280-312.

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  42. Do spatial dependence and market power matter in the diversification of cooperative banks?. (2022). Migliardo, Carlo ; Algeri, Carmelo ; Forgione, Antonio F.
    In: Economic Notes.
    RePEc:bla:ecnote:v:51:y:2022:i:3:n:e12204.

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  43. Asymmetric Systemic Risk. (2022). Silva Buston, Consuelo ; Raykov, Radoslav ; Silva-Buston, Consuelo.
    In: Staff Working Papers.
    RePEc:bca:bocawp:22-19.

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  44. .

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  45. .

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  46. Drivers of income diversification in credit unions: Do size, resource, liquidity, and environment matter?. (2021). Bokpin, Godfred A ; Amoah, Benjamin ; A. Q. Q. Aboagye, ; Oheneasare, Kwaku.
    In: Managerial and Decision Economics.
    RePEc:wly:mgtdec:v:42:y:2021:i:6:p:1407-1420.

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  47. The impact of uncertainty on financial institutions: A cross?country study. (2021). Baum, Christopher ; Xu, Bing ; Caglayan, Mustafa.
    In: International Journal of Finance & Economics.
    RePEc:wly:ijfiec:v:26:y:2021:i:3:p:3719-3739.

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  48. The Impact of Noninterest Income on the Profitability of Commercial Banks in VietNam: Evidence of Non-Linear Relationship. (2021). Nguyen, Khanh Ngoc.
    In: International Journal of Economics and Finance.
    RePEc:ibn:ijefaa:v:13:y:2021:i:1:p:100.

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  49. Interest Rate Uncertainty and the Predictability of Bank Revenues. (2021). Sensoy, Ahmet ; GUPTA, RANGAN ; Demirer, Riza ; Cepni, Oguzhan.
    In: Working Papers.
    RePEc:hhs:cbsnow:2021_002.

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  50. Liquidity Regulation and Bank Risk. (2021). TARAZI, Amine ; Ananou, Foly ; Wilson, John ; Chronopoulos, Dimitris.
    In: Working Papers.
    RePEc:hal:wpaper:hal-03366418.

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  51. The Impact of Bank Specific and Macro-Economic Factors on Non-Performing Loans in the Banking Sector: Evidence from an Emerging Economy. (2021). Thalassinos, El ; Majeed, Ejaz M ; Ahmed, Shakeel.
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  52. Policy uncertainty, the use of derivatives: Evidence from U.S. bank holdingcompanies (BHCs). (2021). Turunen-Red, Arja ; Altalafha, Sarah H ; Hassan, Kabir M ; Tran, Dung Viet.
    In: Research in International Business and Finance.
    RePEc:eee:riibaf:v:58:y:2021:i:c:s0275531921000684.

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  53. The impact of the Fourth Anti-Money Laundering Directive on the valuation of EU banks. (2021). Jafarinejad, Mohammad ; Premti, Arjan ; Balani, Henry.
    In: Research in International Business and Finance.
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  54. Effects of diversification on bank efficiency: Evidence from Shinkin banks in Japan. (2021). Ozaki, Yasufumi ; Harimaya, Kozo.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:71:y:2021:i:c:p:700-717.

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  55. Does sectoral diversification of loans and financing improve bank returns and risk in dual-banking systems?. (2021). Šeho, Mirzet ; Ibrahim, Mansor ; Mirakhor, Abbas.
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  56. Trade, financial openness and dual banking economies: Evidence from GCC Region. (2021). Bahoo, Salman ; Paltrinieri, Andrea ; Hassan, Kabir M ; Khan, Ashraf.
    In: Journal of Multinational Financial Management.
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  57. The wolves of Wall Street? Managerial attributes and bank risk. (2021). Hagendorff, Jens ; Vallascas, Francesco ; Steffen, Sascha ; Saunders, Anthony.
    In: Journal of Financial Intermediation.
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  58. Betting against bank profitability. (2021). Zhong, Angel ; Docherty, Paul ; Chiah, Mardy ; Akhtaruzzaman, MD.
    In: Journal of Economic Behavior & Organization.
    RePEc:eee:jeborg:v:192:y:2021:i:c:p:304-323.

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  59. Risk governance and bank risk-taking behavior: Evidence from Asian banks. (2021). Nguyen, Duc Khuong ; Hussain, Nazim ; Gull, Ammar Ali ; Abid, Ammar.
    In: Journal of International Financial Markets, Institutions and Money.
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  60. Risk-adjusted profitability and stability of Islamic and conventional banks: Does revenue diversification matter?. (2021). Khan, Ashraf ; Rossi, Simone ; Dreassi, Alberto ; Paltrinieri, Andrea.
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  61. Economic uncertainty and bank stability: Conventional vs. Islamic banking. (2021). TARAZI, Amine ; Demir, Ender ; Bilgin, Mehmet ; Danisman, Gamze Ozturk.
    In: Journal of Financial Stability.
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  62. The effect of revenue diversification on bank profitability and risk during the COVID-19 pandemic. (2021). Carter, David A ; Zhao, Sebastian ; Feng, Hongrui ; Li, Xingjian.
    In: Finance Research Letters.
    RePEc:eee:finlet:v:43:y:2021:i:c:s1544612321000386.

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  63. Direct and indirect impacts of European banks’ regulation. (2021). Pham, Ha ; Cuong, Ly Kim.
    In: Finance Research Letters.
    RePEc:eee:finlet:v:40:y:2021:i:c:s1544612320303172.

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  64. Achieving a sustainable cost-efficient business model in banking: The case of European commercial banks. (2021). Lozano-Vivas, Ana ; Kumbhakar, Subal ; Badunenko, Oleg ; Lozanovivas, Ana.
    In: European Journal of Operational Research.
    RePEc:eee:ejores:v:293:y:2021:i:2:p:773-785.

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  65. Income diversification and bank risk in Asia Pacific. (2021). Lin, Yongjia ; Wang, Chunyang.
    In: The North American Journal of Economics and Finance.
    RePEc:eee:ecofin:v:57:y:2021:i:c:s1062940821000760.

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  66. How diversification affects bank performance: The role of human capital. (2021). Adesina, Kolade Sunday.
    In: Economic Modelling.
    RePEc:eee:ecmode:v:94:y:2021:i:c:p:303-319.

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  67. An examination of diversification on bank profitability and insolvency risk in 28 financially liberalized markets. (2021). Argyle, Bronson ; Parsons, Richard ; Nguyen, James.
    In: Journal of Behavioral and Experimental Finance.
    RePEc:eee:beexfi:v:29:y:2021:i:c:s2214635020303439.

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  68. Effects of wealth management products on bank risk in China: The role of audit committee effectiveness. (2021). Zhang, Junrui ; Cheng, Maoyong ; Geng, Hongyan.
    In: Pacific Economic Review.
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  69. Banks noninterest income and securities holdings in a low interest rate environment: The case of Italy. (2021). Williams, Jonathan ; Reghezza, Alessio ; Molyneux, Philip ; Torriero, Chiara.
    In: European Financial Management.
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  70. BANK COMPETITION AND RISK-TAKING IN THE EUROPEAN UNION: EVIDENCE OF A NON-LINEAR RELATIONSHIP. (2021). Pintilie, Nicoleta-Livia ; Ihnatov, Iulian ; Cpraru, Bogdan.
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  71. The Advent of a New Banking System in the U.S. - Financial Deregulation in the 1980s. (2020). Cunha, João Rafael.
    In: Discussion Paper Series, School of Economics and Finance.
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  72. Diversification, efficiency and risk of banks: New consolidating evidence from emerging economies. (2020). Wu, Ji ; Jeon, Bang ; Chen, Minghua.
    In: School of Economics Working Paper Series.
    RePEc:ris:drxlwp:2020_010.

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  73. Bank Diversification and Focus in Disruptive Times: China, 2007–2018. (2020). Tortosa-Ausina, Emili ; Wu, Minzhi.
    In: Working Papers.
    RePEc:jau:wpaper:2020/21.

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  74. Financial Performance and Income Diversity: Does Ownership Matter? Evidence from Vietnamese Commercial Banks. (2020). Ho, Tin H.
    In: International Journal of Economics and Finance.
    RePEc:ibn:ijefaa:v:12:y:2020:i:8:p:77.

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  75. Risk-Taking Channel and Its Non-Linearities: The Case of an Emerging Market Economy. (2020). Stanisławska, Ewa ; Łyziak, Tomasz ; Chmielewski, Tomasz.
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  76. The Role of Block Shareholders in the Relationship between Diversification and Bank Performance in Vietnam. (2020). Viet, Pham Quoc.
    In: International Journal of Economics & Business Administration (IJEBA).
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  77. The Effect of Financing and Non-Financing Income on Islamic Banks’ Risk: Evidence from Gulf Cooperation Council Countries. (2020). Al-Sayyah, Montaser ; Daradkah, Demeh .
    In: International Journal of Economics & Business Administration (IJEBA).
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  78. Do non-traditional banking activities reduce bank liquidity creation? Evidence from Vietnam. (2020). Dang, Van Dan.
    In: Research in International Business and Finance.
    RePEc:eee:riibaf:v:54:y:2020:i:c:s0275531919309092.

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  79. Bank business models and liquidity creation. (2020). Tran, Dung Viet.
    In: Research in International Business and Finance.
    RePEc:eee:riibaf:v:53:y:2020:i:c:s0275531919306439.

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  80. On the income diversification and bank market power nexus in the MENA countries: Evidence from a GMM panel-VAR approach. (2020). Zoghlami, Feten ; Zouaoui, Haykel.
    In: Research in International Business and Finance.
    RePEc:eee:riibaf:v:52:y:2020:i:c:s0275531918310663.

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  81. Competition and diversification in the European Banking Sector. (2020). Cpraru, Bogdan ; Pintilie, Nicoleta-Livia ; Ihnatov, Iulian.
    In: Research in International Business and Finance.
    RePEc:eee:riibaf:v:51:y:2020:i:c:s0275531917308668.

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  82. Heterogeneous patterns of income diversification effects in U.S. bank holding companies. (2020). Kim, Yong-Cheol.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:69:y:2020:i:c:p:731-749.

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  83. Efficiency, diversification, and performance of US banks. (2020). Hassan, M. Kabir ; Khan, Abu ; Ozkan, Bora ; Boujlil, Rhada ; Maroney, Neal.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:67:y:2020:i:c:p:101-117.

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  84. Financial crisis, bank diversification, and financial stability: OECD countries. (2020). Kim, Hakkon ; Ryu, Doojin ; Batten, Jonathan A.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:65:y:2020:i:c:p:94-104.

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  85. Bank diversification and systemic risk. (2020). Chou, Ray Yeutien ; Liu, Chih-Liang ; Yang, Hsin-Feng .
    In: The Quarterly Review of Economics and Finance.
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  86. Do the business cycle and revenue diversification matter for banks’ capital buffer and credit risk: Evidence from ASEAN banks. (2020). Shams, Syed ; Gunasekarage, Abeyratna ; Bose, Sudipta ; Ovi, Nafisa.
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  87. Discerning the impact of disaggregated non-interest income activities on bank risk and profits in the post-Gramm-Leach-Bliley Act era. (2020). Ghosh, Amit.
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  88. Market risk-based capital requirements, trading activity, and bank risk. (2020). Torna, Gokhan ; Kitsul, Yuriy ; Holod, Dmytro.
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  89. Strategic scope and bank performance. (2020). Schmid, Markus ; Walter, Ingo ; Saunders, Anthony.
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  90. The impact of regulations on compliance costs, risk-taking, and reporting quality of the EU banks. (2020). Agarwal, Vineet ; Aghanya, Daniel ; Poshakwale, Sunil.
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  91. Diversification, efficiency and risk of banks: Evidence from emerging economies. (2020). Jeon, Bang ; Chen, Minghua ; Wu, JI.
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  92. The double-edged sword effect of diversified operation on pre- and post-loan risk in the government-led Chinese commercial banks. (2020). Fu, Jingyuan ; Liu, Bai ; Wang, Shuyao ; Zhang, Ailian.
    In: The North American Journal of Economics and Finance.
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  93. ACTIVITY STRATEGIES, AGENCY PROBLEMS, AND BANK RISK. (2020). Louvet, Pascal ; Girerdpotin, Isabelle ; Hassan, Kabir M ; Tran, Dung V.
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  94. How diverse are national banking systems? An analysis on banking business models, profitability, and riskiness. (2020). Gobbi, Lucio ; Gaffeo, Edoardo ; Caterini, Giacomo.
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  95. Does bank transparency benefit from the Volcker Rule?. (2020). Pei, Sha ; Liu, Zhentao.
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  96. Regulatory Banking Leverage: what do you know?. (2020). Kimura, Herbert ; da Rosa, Douglas.
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  99. Model of Risk Diversification in the Banking Sector. (2019). Karkowska, Renata ; Renata, Karkowska .
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  100. INTEREST INCOME AND DEPOSIT MONEY BANKS (DMBs) PERFORMANCE IN NIGERIA. (2019). Yunusa, Lateef Adewale ; Ilo, Bamidele M ; Christopher, Russell Olukayode .
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  101. Income Diversification, Market Power and Performance. (2019). Githaiga, Peter Nderitu.
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  102. Da che dipende il rischio delle banche? Il beta fondamentale delle banche europee (What does banks riskiness depend on? The fundamental beta of Europes banks). (2019). Venanzi, Daniela.
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  103. Does diversification affect the quality of loan portfolio?Panel Granger-causality evidence from US banks. (2019). Tran, Dung ; Ho, Sy-Hoa.
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  104. Bank Earnings Management using Commission and Fee Income: the Role of Investor Protection and Economic Fluctuation. (2019). Ozili, Peterson K.
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  105. Determinants of CDS trading on major banks. (2019). Wengerek, Sascha Tobias ; Uhde, Andre ; Hippert, Benjamin.
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  106. The universal bank model: Synergy or vulnerability?. (2019). Brei, Michael ; Yang, XI.
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  107. Bank Profitability and Financial Stability. (2019). Xu, TengTeng ; Das, Udaibir S ; Hu, Kun.
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  108. Revenue Diversification, Risk and Bank Performance of Vietnamese Commercial Banks. (2019). Nguyen, Khanh Ngoc.
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  109. Central banks’ preferences and banking sector vulnerability. (2019). Lucotte, Yannick ; Pradines-Jobet, F ; Levieuge, G.
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  110. Intricacies of competition, stability, and diversification: Evidence from dual banking economies. (2019). Aun, Syed ; Arshad, Shaista ; Ali, Mohsin ; Azmi, Wajahat.
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  111. A dynamic model of bank behaviour under multiple regulatory constraints. (2019). Salleo, Carmelo ; Daminato, Claudio ; Behn, Markus.
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  112. As long as the bank gains: expanding the retail distribution activity. (2019). Liberati, Danilo ; Vercelli, Francesco.
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  113. An analysis of non-traditional activities at German savings banks: Does the type of fee and commission income matter?. (2018). Kohler, Matthias.
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  114. Banks’ earnings: Empirical evidence of the influence of economic and financial market factors. (2018). Alexandre, Hervé ; Albert, Stephane.
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  115. Income Diversification in Low Income Sub-Saharan African Countries’ Commercial Banks: A “Blessing” or “Curse”?. (2018). Magret, Olarewaju Odunayo.
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  116. Asset Securitization and Risk: Does Bank Type Matter?. (2018). Mollah, Sabur ; Elnahass, Marwa ; Abdelsalam, Omneya .
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  117. Religiosity and Bank Asset Securitization. (2018). Mollah, Sabur ; Elnahass, Marwa ; Abdelsalam, Omneya .
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  118. Profitability drivers for Indian banks: a dynamic panel data analysis. (2018). Bapat, Dhananjay.
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  119. The Influence of Income Diversification on Operating Stability of the Chinese Commercial Banking Industry. (2018). Wang, Chunyang ; Lin, Yongjia.
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  120. Business Complexity and Risk Management: Evidence from Operational Risk Events in U.S. Bank Holding Companies. (2018). Wang, Jianlin ; Ozdagli, Ali ; Chernobai, Anna.
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  121. Revenue diversification and total assets in commercial banks: evidence from selected Asean countries. (2018). Thuy, Thai Thi ; Sang, Nguyen Minh.
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  122. Market-Book Ratios of European Banks: What Does Explain the Structural Fall?. (2018). Venturelli, Valeria ; Landi, Andrea ; Gallo, Giovanni ; Ferretti, Riccardo.
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  123. Market-Book Ratios of European Banks: What Does Explain the Structural Fall?. (2018). Ferretti, Riccardo ; Venturelli, Valeria ; Landi, Andrea ; Gallo, Giovanni.
    In: Centro Studi di Banca e Finanza (CEFIN) (Center for Studies in Banking and Finance).
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  124. The market for private student loans: an analysis of credit union exposure, risk, and returns. (2018). Goenner, Cullen F.
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  125. Risk Targeting and Policy Illusions—Evidence from the Announcement of the Volcker Rule. (2018). Korte, Josef ; Keppo, Jussi.
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  126. What Determines the Profitability of Vietnam Commercial Banks?. (2018). Nguyen, Duong Thuy ; Diem, Huong Thi ; Ta, Huyen Thanh.
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  127. Earnings Management to Avoid Financial Distress and Improve Profitability: Evidence from Jordan. (2018). Humeedat, Mohammad M.
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  128. Toward a More Resilient Financial System: Should Banks Be Diversified?. (2018). Trujillo-Ponce, Antonio ; del Orden-Olasagasti, Olga ; Baselga-Pascual, Laura.
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  129. Groups, Pricing, and Cost of Debt: Evidence from Turkey. (2018). Raymar, Steven ; Kullu, Melih A.
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  130. The Impact of Revenue Diversification on Bank Profitability and Stability: Empirical Evidence from South Asian Countries. (2018). Ashraf, Badar Nadeem ; Peng, KE ; Nisar, Shoaib ; Wang, Susheng.
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  131. Why Did EU Banks Change Their Business Models in Last Years and What Was the Impact of Net Fee and Commission Income on Their Performance?. (2018). Vozkova, Karolina.
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  132. Does bank diversification heterogeneously affect performance and risk-taking in ASEAN emerging economies?. (2018). Ashraf, Badar Nadeem ; Zheng, Changjun ; Gupta, Anupam Das ; Moudud-Ul, Syed.
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  133. Should microfinance institutions diversify or focus? A global analysis. (2018). Zamore, Stephen.
    In: Research in International Business and Finance.
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  134. Relationship between capital, risk and liquidity: a comparative study between Islamic and conventional banks in MENA region. (2018). Ben Salah, Ines ; Abbes, Mouna Boujelbene .
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  135. What drives bank efficiency? The interaction of bank income diversification and ownership. (2018). Doong, Shuh-Chyi ; Lin, Kun-Li ; Doan, Anh-Tuan.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:55:y:2018:i:c:p:203-219.

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  136. An FSB board member can better align corporate governance with SIFI sustainability. (2018). Phillips, Emir ; Desmoulins-Lebeault, Francois.
    In: The Quarterly Review of Economics and Finance.
    RePEc:eee:quaeco:v:70:y:2018:i:c:p:112-120.

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  137. Asset diversification and bank performance: Evidence from three Asian countries with a dual banking system. (2018). Chen, Naiwei ; Yu, Min-Teh ; Liang, Hsin-Yu.
    In: Pacific-Basin Finance Journal.
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  138. The joint regulation of bank liquidity and bank capital. (2018). TARAZI, Amine ; De Young, Robert ; Distinguin, Isabelle ; Deyoung, Robert.
    In: Journal of Financial Intermediation.
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  139. Systematic risk factors and bank failures. (2018). Sun, Junjie ; Zhao, Xinlei ; Wu, Deming.
    In: Journal of Economics and Business.
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  140. The impact of the Volcker rule on targeted banks, systemic risk, liquidity, and financial reporting quality. (2018). Elayan, Fayez A ; Pacharn, Parunchana ; Brown, Kareen ; Aktas, Rafet .
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  141. Does it pay to get connected? An examination of bank alliance network and bond spread. (2018). TARAZI, Amine ; HASAN, IFTEKHAR ; Zhou, Mingming ; Meslier, Celine.
    In: Journal of Economics and Business.
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  142. Non-interest income and bank lending. (2018). TARAZI, Amine ; Molyneux, Philip ; Abedifar, Pejman.
    In: Journal of Banking & Finance.
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  143. Diversification and bank stability in the GCC. (2018). Abuzayed, Bana ; Molyneux, Phil ; Al-Fayoumi, Nedal.
    In: Journal of International Financial Markets, Institutions and Money.
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  144. Cooperative banks: What do we know about competition and risk preferences?. (2018). Mare, Davide Salvatore ; Clark, Ephraim ; Radi, Nemanja.
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:52:y:2018:i:c:p:90-101.

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  145. Should banks diversify or focus? Know thyself: The role of abilities. (2018). HASAN, IFTEKHAR ; Zhou, Mingming ; Kullu, Melih A ; Francis, Bill B.
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  146. Income diversification and bank performance: evidence from malaysian banks. (2018). Brahmana, Rayenda ; Gilbert, Rachel Elfra ; Kontesa, Maria.
    In: Economics Bulletin.
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  147. Bank competition and stability in the United Kingdom. (2018). Straughan, Michael ; Francis, William ; de Ramon, S J A ; De-Ramon, Sebastian .
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  148. The Impact of Uncertainty on Financial Institutions. (2018). Xu, Bing ; Caglayan, Mustafa ; Baum, Christopher.
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  149. The impact of the interest rate level on bank profitability and balance sheet structure. (2018). Perez, Alejandro Ferrer ; Montes, Carlos Perez.
    In: Financial Stability Review.
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  150. Understanding the Cyclical Nature of Financial Intermediation Costs. (2017). Sapci, Ayse ; Jaremski, Matthew.
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  151. The Profitability and Risk Effects of Russian Banking Institutions’ Involvement in Bancassurance: Merger Simulation Methodology. (2017). Alexander, Ekimov.
    In: Ekonomika (Economics).
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  152. Much ado about nothing? Interest and non-interest products and services: Their impact on small banks’ margins. (2017). Fredriksson, Antti ; McMillan, David ; Moro, Andrea ; Maresch, Daniela.
    In: Cogent Economics & Finance.
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  153. Diversification, bank performance and risk: have Tunisian banks adopted the new business model?. (2017). HAMDI, Helmi ; HAKIMI, ABDELAZIZ ; Zaghdoudi, Khemais.
    In: Financial Innovation.
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  154. Bank Risk Factors and Changing Risk Exposures in the Pre- and Post-financial Crisis Periods: An Empirical Study for India. (2017). .
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    RePEc:sae:manlab:v:42:y:2017:i:4:p:356-378.

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  155. Does Competition Affect Bank Risk?. (2017). Lin, Chen ; Levine, Ross ; Jiang, Liangliang .
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  156. How Does Financial Market Evaluate Business Models? Evidence From European Banks. (2017). Venturelliunimore, Valeria Venturellivaleria ; Landi, Andrea ; Gualandri, Elisabetta ; Ferretti, Riccardo ; Cosma, Stefano.
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  157. How Does Financial Market Evaluate Business Models? Evidence From European Banks. (2017). Ferretti, Riccardo ; Venturelli, Valeria ; Landi, Andrea ; Gualandri, Elisabetta ; Cosma, Stefano.
    In: Centro Studi di Banca e Finanza (CEFIN) (Center for Studies in Banking and Finance).
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  158. Non-interest Income, Trading, and Bank Risk. (2017). Zhang, Ting ; Huang, Ying Sophie ; Chen, Carl R.
    In: Journal of Financial Services Research.
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  159. Bank Liquidity Management and Bank Capital Shocks. (2017). TARAZI, Amine ; Distinguin, Isabelle ; Deyoung, Robert ; De Young, Robert.
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  160. The determinants of bank profitability, does Islamic ethics perspective matter ? A comprehensive study on Islamic banks vs. Conventional ones. (2017). Agbodjo, Serge ; el Bahsh, Rana ; Lajimi, Kaouther Toumi.
    In: Post-Print.
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  161. The effects of revenue diversification and cross border banking on risk and return of banks in Africa. (2017). Sissy, Aisha Mohammed ; Abor, Joshua Yindenaba ; Amidu, Mohammed.
    In: Research in International Business and Finance.
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  162. Income structure, profitability and risk in the European banking sector: The impact of the crisis. (2017). Maudos, Joaquin.
    In: Research in International Business and Finance.
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  163. Reexamination of risk-taking incentives in banking: Realign incentives and curtail future episodes of mismanagement. (2017). Yang, Xiaolou .
    In: The Quarterly Review of Economics and Finance.
    RePEc:eee:quaeco:v:64:y:2017:i:c:p:238-248.

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  164. Valuation of diversified banks: New evidence. (2017). Guerry, Nicolas ; Wallmeier, Martin .
    In: Journal of Banking & Finance.
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  165. Bank opacity and risk-taking: Evidence from analysts’ forecasts. (2017). Fosu, Samuel ; Murinde, Victor ; Coffie, William ; Ntim, Collins G.
    In: Journal of Financial Stability.
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  166. Why do banks choose to finance with equity?. (2017). Sorokina, Nonna Y ; Patel, Ajay ; Thornton, John H.
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  167. Information content of analyst recommendations in the banking industry. (2017). Garcia-Feijoo, Luis ; Madura, Jeff ; Premti, Arjan .
    In: International Review of Financial Analysis.
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  168. Market power and risk of Central and Eastern European banks: Does more powerful mean safer?. (2017). Lapteacru, Ion.
    In: Economic Modelling.
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  169. Asset quality, non-interest income, and bank profitability: Evidence from Indian banks. (2017). Ahamed, Mostak M.
    In: Economic Modelling.
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  170. Capital and liquidity ratios and financial distress. Evidence from the European banking industry. (2017). Casu, Barbara ; Chiaramonte, Laura.
    In: The British Accounting Review.
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  171. Are fair value options created equal? A study of SFAS 159 and earnings volatility. (2017). Couch, Robert ; Wu, Wei ; Thibodeau, Nicole.
    In: Advances in accounting.
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  172. Does revenue diversification still matter in banking? Evidence from some European countries. (2017). Rossi, Simone ; Borroni, Mariarosa.
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  173. Does Diversification Drive Down Risk-adjusted Returns? A Quantile Regression Approach. (2017). Jeungbo, Shim .
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  174. Empirical Evidence on Systemic as a Herd: The Case of Japanese Regional Banks. (2017). Kido, Yosuke ; Hirakata, Naohisa ; Thum, Jie Liang .
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  175. An overview of the UK banking sector since the Basel Accord: insights from a new regulatory database. (2017). Milonas, Kristoffer ; Francis, William ; de Ramon, S J A.
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  176. Monetary policy and bank lending in a low interest rate environment: diminishing effectiveness?. (2017). Gambacorta, Leonardo ; BORIO, Claudio.
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  177. The effects of foreign strategic investors on business models in China’s commercial banks: does ownership structure matter?. (2016). Cheng, Maoyong ; Zhou, Mingming ; Zhao, Hong.
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  178. Bank risk shifting and diversification in an emerging market. (2016). Vo, Xuan Vinh ; Batten, Jonathan.
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  179. Bank Diversification into the Insurance Business: The Effects of the Deregulation of the Bank-Sales Channel at Japanese Banks. (2016). Yasuda, Yukihiro ; Okuyama, Eiji ; Konishi, Masaru.
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  180. Income and funding structures, banking regulation and bank risk-taking: The role of ownership in Central and Eastern European banks. (2016). Lapteacru, Ion.
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  181. Product diversification and bank performance: does ownership structure matter?. (2016). Saghi-Zedek, Nadia .
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  182. Cost Efficiency of the Hong Kong Banking Sector: A Two-Stage DEA Window Analysis. (2016). Anwar, Sajid ; Phan, Hien Thu ; Alexander, Robert .
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  183. Bank earnings volatility in the UK: Does size matter? A comparison between commercial and investment banks. (2016). Moutsianas, Konstantinos A ; Kosmidou, Kyriaki.
    In: Research in International Business and Finance.
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  184. Intra- and extra-bank determinants of Latin American Banks profitability. (2016). Saona, Paolo.
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  185. What is the effect of unconventional monetary policy on bank performance?. (2016). mamatzakis, emmanuel ; Bermpei, Theodora.
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  186. The policy impact of new rules for loan participation on credit union returns. (2016). Goenner, Cullen F.
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  187. The impact of non-interest income on bank risk in Australia. (2016). Williams, Barry.
    In: Journal of Banking & Finance.
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  188. Product diversification and bank performance: Does ownership structure matter?. (2016). Saghi-Zedek, Nadia .
    In: Journal of Banking & Finance.
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  189. Bank market power, ownership, regional presence and revenue diversification: Evidence from Africa. (2016). Skully, Michael ; Perera, Shrimal ; Nguyen, MY.
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  190. Size and support ratings of US banks. (2016). Poghosyan, Tigran ; de Haan, Jakob ; Werger, Charlotte .
    In: The North American Journal of Economics and Finance.
    RePEc:eee:ecofin:v:37:y:2016:i:c:p:236-247.

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  191. Does local religiosity matter for bank risk-taking?. (2016). Adhikari, Binay Kumar ; Agrawal, Anup.
    In: Journal of Corporate Finance.
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  192. Whats in an education? Implications of CEO education for bank performance. (2016). Williams, Jonathan ; Srivastav, Abhishek ; King, Timothy .
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  193. Cross-Industry Product Diversification and Contagion in Risk and Return: The case of Bank-Insurance and Insurance-Bank Takeovers. (2016). Elyasiani, Elyas ; Dontis-Charitos, Panagiotis ; Staikouras, Sotiris K.
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  194. Bank Competition: Measurement, Decision‐Making, and Risk‐Taking. (2016). Hendricks, Bradley E ; Bushman, Robert M ; Williams, Christopher D.
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  195. Diversification, Size and Risk: the Case of Bank Acquisitions of Nonbank Financial Firms. (2016). Casu, Barbara ; Williams, Jonathan ; Staikouras, Sotiris ; Charitos, Panagiotis Dontisa.
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  196. Banking Innovations and New Income Streams: Impact on Banks’ Performance. (2015). Roy Trivedi, Smita.
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  197. Foreign bank diversification and efficiency prior to and during the financial crisis: Does one business model fit all?. (2015). Zelenyuk, Valentin ; Lozano-Vivas, Ana ; Curi, Claudia .
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  198. Which banks are more risky? The impact of business models on bank stability. (2015). Kohler, Matthias.
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  199. US bank holding companies: Structure of activities and performance through the cycles. (2015). Albert, Stephane .
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  200. Role of off-balance sheet operations on bank scale economies: Evidence from Chinas banking sector. (2015). Li, Cheng ; Hou, Xiaohui ; Wang, Qing.
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  201. Leverage and risk in US commercial banking in the light of the current financial crisis. (2015). Wolff, Christian ; Papanikolaou, Nikolaos.
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  202. Operating Leverage over the Business Cycle. (2015). Bhattacharjee, Arnab.
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  203. Alternative Banking and Theory. (2015). Olivier, Butzbach ; von Mettenheim Kurt E., .
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  204. Australian Specific Bank Features and the Impact of Income Diversification on Bank Performance and Risk. (2015). Gunasekarage, Abeyratna ; Edirisuriya, Piyadasa ; Dempsey, Michael.
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  205. The Role of Banks as Producers of Information: Can It Survive Competition and Cross-Selling Incentives?. (2015). Cosci, Stefania ; Sabato, Valentina ; Meliciani, Valentina.
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  206. The Effect of Diversification of Banking Products on the Relationship between Market Power and Financial Stability. (2015). Labidi, Widede ; Mensi, Sami.
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  207. Changing Perceptions of Maturity Mismatch in the U.S. Banking System: Evidence from Equity Markets. (2014). Hogan, Thomas ; Wiseman, Travis ; Young, Andrew T.
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  208. Does non?interest income make banks more risky? Retail? versus investment?oriented banks. (2014). Kohler, Matthias.
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  209. Macroeconomic Factors and Microlevel Bank Behavior. (2014). Prieto, Esteban ; Eickmeier, Sandra ; Buch, Claudia.
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  210. What precludes the development of noninterest activities in Chinese commercial banks from the perspective of the price of interest activities?. (2014). Zhao, Hong ; Cheng, Maoyong ; Zhang, Junrui.
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  211. Diversification and bank profitability: a nonlinear approach. (2014). Yang, Jing ; Scatigna, Michela ; Gambacorta, Leonardo.
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  212. What drives investment bank performance? the role of risk, liquidity and fees prior to and during the crisis.. (2014). mamatzakis, emmanuel ; bermpei, t.
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  213. Analysis of Non-Interest Income of Commercial Banks in Ghana. (2014). Amankwaa, Albert ; Anku-Tsede, Olivia ; Damankah, Basil Senyo .
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  214. Does the presence of institutional investors in family banks affect profitability and risk? Evidence from an emerging market. (2014). TARAZI, Amine ; Setiyono, Bowo .
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  215. Does diversity of bank board members affect performance and risk? Evidence from an emerging market. (2014). TARAZI, Amine ; Setiyono, Bowo .
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  216. Non-Interest Income Activities and Bank Lending. (2014). TARAZI, Amine ; Molyneux, Philip ; Abedifar, Pejman.
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  217. Does non-interest income make banks more risky? Retail- versus investment-oriented banks. (2014). Kohler, Matthias.
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  218. Islamic bank incentives and discretionary loan loss provisions. (2014). Hassan, M. Kabir ; Clinch, Gregory ; Farook, Sayd .
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  219. Disciplinary tools and bank risk exposure. (2014). Seth, Rama ; faff, robert ; Haq, Mamiza ; Mohanty, Sunil .
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  220. The long-term role of non-traditional banking in profitability and risk profiles: Evidence from a panel of U.S. banking institutions. (2014). Apergis, Nicholas.
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  221. Bank risk and national governance in Asia. (2014). Williams, Barry.
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  222. The relationship between revenue diversification and bank performance: Do financial structures and financial reforms matter?. (2014). Lee, Chien-Chiang ; Hsieh, Meng-Fen ; Yang, Shih-Jui .
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  223. Is bank income diversification beneficial? Evidence from an emerging economy. (2014). Tacneng, Ruth ; TARAZI, Amine ; Meslier, Celine.
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:31:y:2014:i:c:p:97-126.

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  224. The role of on- and off-balance-sheet leverage of banks in the late 2000s crisis. (2014). Wolff, Christian ; Papanikolaou, Nikolaos ; Wolff, Christian C. P., .
    In: Journal of Financial Stability.
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  225. Asymmetric effects of households’ financial participation on banking diversification. (2014). Chen, Pei-Fen ; Zeng, Jhih-Hong .
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  226. What drives investment bank performance? The role of risk, liquidity and fees prior to and during the crisis. (2014). mamatzakis, emmanuel ; Bermpei, Theodora.
    In: International Review of Financial Analysis.
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  227. Non-interest income, profitability, and risk in banking industry: A cross-country analysis. (2014). Lee, Chien-Chiang ; Chang, Chi-Hung ; Yang, Shih-Jui .
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  228. Wishful thinking or effective threat? tightening bank resolution regimes and bank risk-taking. (2014). Korte, Josef ; Ignatowski, Magdalena.
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  229. Size and support ratings of US banks. (2014). Poghosyan, Tigran ; de Haan, Jakob ; Werger, Charlotte .
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  230. Foreign bank diversification and efficiency prior to and during the financial crisis: Does one business model fit all?. (2014). Zelenyuk, Valentin ; Lozano-Vivas, Ana ; Curi, Claudia.
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  232. Does non-interest income make banks more risky? Retail- versus investment-oriented banks. (2013). Kohler, Matthias.
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  233. The relationship between size, growth and profitability of commercial banks. (2013). Shehzad, Choudhry Tanveer ; Scholtens, Bert ; de Haan, Jakob.
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  234. The change in banks product mix, diversification and performance: An application of multivariate GARCH to Canadian data. (2013). Calmès, Christian ; Theoret, Raymond .
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  235. THE EFFECT OF REVENUE AND GEOGRAPHIC DIVERSIFICATION ON BANK PERFORMANCE. (2013). Venturelli, Valeria ; Brighi, Paola.
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  236. THE EFFECT OF REVENUE AND GEOGRAPHIC DIVERSIFICATION ON BANK PERFORMANCE. (2013). Venturelli, Valeria ; Brighi, Paola.
    In: Centro Studi di Banca e Finanza (CEFIN) (Center for Studies in Banking and Finance).
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  237. How Income Diversification, Size and Capital Ratio Affect BHC’s Performance?. (2013). Brighi, Paola ; Venturelli, Valeria.
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  238. Is foreign-bank efficiency in financial centers driven by home or host country characteristics?. (2013). Zelenyuk, Valentin ; Lozano-Vivas, Ana ; Guarda, Paolo ; Curi, Claudia.
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  239. Time-Varying Leverage and Basel III: A Look at Canadian Evidence. (2013). Calmès, Christian ; Theoret, Raymond ; Calmes, Christian ; Bergevin, Philippe .
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  240. Is Bank Income Diversification Beneficial? Evidence from an Emerging Economy. (2013). Tacneng, Ruth ; TARAZI, Amine ; Meslier Crouzille, Celine ; Meslier-Crouzille, Celine.
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  241. Banks’ Earnings: an empirical evidence of the influence of economic and financial markets factors. (2013). Alexandre, Herve ; Albert, Stephane .
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  242. Risk in Islamic Banking. (2013). TARAZI, Amine ; Molyneux, Philip ; Abedifar, Pejman.
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  243. Nontraditional banking activities and bank failures during the financial crisis. (2013). Torna, Gokhan ; Deyoung, Robert ; De Young, Robert.
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  244. Bank capital buffer and portfolio risk: The influence of business cycle and revenue diversification. (2013). Shim, Jeungbo .
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  245. Market-oriented banking, financial stability and macro-prudential indicators of leverage. (2013). Calmès, Christian ; Calmes, Christian ; Theoret, Raymond .
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  246. Are there diversification benefits of increasing noninterest income in the Chinese banking industry?. (2013). Li, LI ; Zhang, YU.
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  247. Banks’ Earnings: an empirical evidence of the influence of economic and financial markets factors. (2013). Alexandre, Herve ; Albert, Stephane .
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  248. The role of on- and off-balance-sheet leverage of banks in the late 2000s crisis. (2013). Wolff, Christian ; Papanikolaou, Nikolaos ; Christian C. P. Wolff,, .
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  249. Non-Interest Income: Are Australian Banks Moving Away from their Traditional Businesses?. (2013). Lester, Laurence ; Delpachitra, Sarath.
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  250. Structural bank regulation initiatives: approaches and implications. (2013). Rixtel, Adrian ; Gambacorta, Leonardo ; van Rixtel, Adrian.
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  251. Income Diversification and Bank Performance: Evidence From Turkish Banking Sector. (2013). Gurbuz, Ali Osman ; Ayturk, Yusuf ; YANIK, Serhat .
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  252. Which banks are more risky? The impact of loan growth and business model on bank risk-taking. (2012). Kohler, Matthias.
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  253. Return Dependence and the Limits of Product Diversification in Financial Firms. (2012). Hu, Jian ; Gunther, Jeffery W ; Fomby, Thomas B.
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  254. Do Large Banks Have Lower Costs? New Estimates of Returns to Scale for U.S. Banks. (2012). Wilson, Paul W ; Wheelock, David C.
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  255. The fluctuating default risk of Australian banks. (2012). Powell, Robert ; Allen, David.
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  256. Can Portfolio Diversification increase Systemic Risk? Evidence from the U.S and European Mutual Funds Market. (2012). Scandizzo, Pasquale ; Dicembrino, Claudio.
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  257. Financial Determinants of Bank Performance in Taiwan. (2012). Yu, Jean ; Huang, Yu-Ting.
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  258. Modelling non-interest income at Tunisian banks. (2012). HAMDI, Helmi ; HAKIMI, ABDELAZIZ ; Djelassi, Mouldi.
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  259. The procyclicality of Basel III leverage: Elasticity-based indicators and the Kalman filter. (2012). Calmès, Christian ; Calmes, Christian ; Theoret, Raymond .
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  260. Corporate Governance, Opaque Bank Activities, and Risk/Return Efficiency: Pre- and Post-Crisis Evidence from Turkey. (2012). Schoors, Koen ; Disli, Mustafa ; De Jonghe, Olivier.
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  261. Bank Risk and Non-Interest Income Activities in the Indonesian Banking Industry. (2012). Miyamoto, Hiroaki ; Kakinaka, Makoto ; Hidayat, Wahyu Yuwana .
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  262. Risk in Islamic Banking. (2012). TARAZI, Amine ; Molyneux, Philip ; Abedifar, Pejman.
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  263. Interest rate risk and bank equity valuations. (2012). Zakrajsek, Egon ; Van den Heuvel, Skander ; English, William B..
    In: Finance and Economics Discussion Series.
    RePEc:fip:fedgfe:2012-26.

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  264. Stock Market Assessment of Bank Risk: Evidence from the Maghreb Region. (2012). Hmaied, Dorra Mezzez ; Mbarek, Lassaad .
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  265. Profit distribution management by Islamic banks: An empirical investigation. (2012). Hassan, M. Kabir ; Clinch, Gregory ; Farook, Sayd .
    In: The Quarterly Review of Economics and Finance.
    RePEc:eee:quaeco:v:52:y:2012:i:3:p:333-347.

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  266. An empirical analysis of the relation between bank charter value and risk taking. (2012). Niu, Jijun .
    In: The Quarterly Review of Economics and Finance.
    RePEc:eee:quaeco:v:52:y:2012:i:3:p:298-304.

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  267. Bank resilience to systemic shocks and the stability of banking systems: Small is beautiful. (2012). Vallascas, Francesco ; Keasey, Kevin.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:31:y:2012:i:6:p:1745-1776.

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  268. The relationship between net interest margin and noninterest income using a system estimation approach. (2012). Nguyen, James.
    In: Journal of Banking & Finance.
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  269. Income diversification and risk: Does ownership matter? An empirical examination of Indian banks. (2012). Pennathur, Anita K. ; Subrahmanyam, Vijaya ; Vishwasrao, Sharmila.
    In: Journal of Banking & Finance.
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  270. Size and earnings volatility of US bank holding companies. (2012). Poghosyan, Tigran ; de Haan, Jakob.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:36:y:2012:i:11:p:3008-3016.

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  271. Bank size, market concentration, and bank earnings volatility in the US. (2012). Poghosyan, Tigran ; de Haan, Jakob.
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:22:y:2012:i:1:p:35-54.

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  272. The determinants of interest margins and their effect on bank diversification: Evidence from Asian banks. (2012). Chung, Huimin ; Wu, Soushan ; Hsieh, Ming-Hsiang ; Lin, Jane-Raung .
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:8:y:2012:i:2:p:96-106.

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  273. Bank market power and revenue diversification: Evidence from selected ASEAN countries. (2012). Skully, Michael ; Perera, Shrimal ; Nguyen, MY.
    In: Journal of Asian Economics.
    RePEc:eee:asieco:v:23:y:2012:i:6:p:688-700.

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  274. Bank risk and non-interest income activities in the Indonesian banking industry. (2012). Miyamoto, Hiroaki ; Kakinaka, Makoto ; Hidayat, Wahyu Yuwana .
    In: Journal of Asian Economics.
    RePEc:eee:asieco:v:23:y:2012:i:4:p:335-343.

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  275. Stock Market Assessment of Bank Risk: Evidence from the Maghreb Region. (2012). Hmaied, Dorra Mezzez ; Mbarek, Lassad .
    In: Review of Middle East Economics and Finance.
    RePEc:bpj:rmeecf:v:8:y:2012:i:1:n:3.

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  276. Bank Risk during the Financial Crisis: Do business models matter?. (2012). Marques-Ibanez, David ; Manganelli, Simone ; Altunbas, Yener.
    In: Working Papers.
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  277. Portfolio separation and the dynamics of bank interest rates. (2012). Giuliodori, Massimo ; Dia, Enzo.
    In: Scottish Journal of Political Economy.
    RePEc:bla:scotjp:v:59:y:2012:i:1:p:28-46.

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  278. Modelling Non-Interest Income at Tunisian Banks. (2012). HAMDI, Helmi ; HAKIMI, ABDELAZIZ ; Djelassi, Mouldi.
    In: Asian Economic and Financial Review.
    RePEc:asi:aeafrj:2012:p:88-99.

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  279. Implications of the Dodd-Frank Act. (2012). Richardson, Matthew ; Acharya, Viral V..
    In: Annual Review of Financial Economics.
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  280. Corporate Governance, Opaque Bank Activities, and Risk/Return Efficiency : Pre- and Post-Crisis Evidence from Turkey. (2011). De Jonghe, Olivier ; Schoors, K ; Disli, M.
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  281. Do We need Big Banks? Evidence on Performance, Strategy and Market Discipline. (2011). Huizinga, Harry ; Demirguc-Kunt, A.
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    RePEc:tiu:tiutis:94ca9e11-605c-422e-81df-b0778b0dd5b9.

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  282. Do We need Big Banks? Evidence on Performance, Strategy and Market Discipline. (2011). Huizinga, Harry ; Demirguc-Kunt, A.
    In: Other publications TiSEM.
    RePEc:tiu:tiutis:943f1401-2de0-4bc9-bb15-d1c4ee22b4bb.

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  283. Corporate Governance, Opaque Bank Activities, and Risk/Return Efficiency : Pre- and Post-Crisis Evidence from Turkey. (2011). De Jonghe, Olivier ; Schoors, K ; Disli, M.
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  284. Corporate Governance, Opaque Bank Activities, and Risk/Return Efficiency : Pre- and Post-Crisis Evidence from Turkey. (2011). Schoors, Koen ; De Jonghe, Olivier ; Disli, M..
    In: Discussion Paper.
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  285. Do We need Big Banks? Evidence on Performance, Strategy and Market Discipline. (2011). Huizinga, Harry ; Demirguc-Kunt, Asli.
    In: Discussion Paper.
    RePEc:tiu:tiucen:94ca9e11-605c-422e-81df-b0778b0dd5b9.

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  286. Corporate governance, opaque bank activities, and risk/return efficiency: Pre- and post-crisis evidence from Turkey. (2011). Schoors, Koen ; De Jonghe, Olivier ; Disli, M..
    In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
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  287. Can Banks in Emerging Economies Benefit from Revenue Diversification?. (2011). Wolfe, Simon ; Sanya, Sarah .
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    RePEc:kap:jfsres:v:40:y:2011:i:1:p:79-101.

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  288. Revenue diversification in emerging market banks: implications for financial performance. (2011). Plihon, Dominique ; Ben Gamra, Saoussen .
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  289. Transition aux normes comptables IAS/IFRS, discipline de marché et adéquation des fonds propres aux risques dans lindustrie bancaire européenne. (2011). Clavier, Julien .
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  290. Corporate governance and banks: what have we learned from the financial crisis?. (2011). Shapiro, Joel ; Mehran, Hamid ; Morrison, Alan.
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  291. The impact of management and board ownership on profitability in banks with different strategies. (2011). Westman, Hanna.
    In: Journal of Banking & Finance.
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  292. Bank capital buffer and risk adjustment decisions. (2011). Milne, Alistair ; Jokipii, Terhi.
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  293. CEO pay incentives and risk-taking: Evidence from bank acquisitions. (2011). Hagendorff, Jens ; Vallascas, Francesco.
    In: Journal of Corporate Finance.
    RePEc:eee:corfin:v:17:y:2011:i:4:p:1078-1095.

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  294. Bank risk during the financial crisis: do business models matter?. (2011). Marques-Ibanez, David ; Manganelli, Simone ; Altunbas, Yener.
    In: Working Paper Series.
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  295. Do we need big banks? Evidence on performance, strategy and market discipline. (2011). Huizinga, Harry ; Demirguc-Kunt, Asli.
    In: CEPR Discussion Papers.
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  296. Market reforms, legal changes and bank risk-taking : evidence from transition economies. (2011). HASAN, IFTEKHAR ; Fang, Yiwei ; Marton, Katherin.
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  297. Revenue diversification in emerging market banks: implications for financial performance. (2011). Ben Gamra, Saoussen ; Plihon, Dominique.
    In: Papers.
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  298. The profitability of the consumer credit industry: evidence from Europe. (2010). .
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  299. Relationship lending and SME financing in the continental European bank-based system. (2010). Martinez-Solano, Pedro ; Hernandez-Canovas, Gines.
    In: Small Business Economics.
    RePEc:kap:sbusec:v:34:y:2010:i:4:p:465-482.

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  300. The Impact of Derivatives Activity on Commercial Banks: Evidence from U.S. Bank Holding Companies. (2010). .
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  301. Bank risk and return: the impact of bank non-interest income. (2010). Williams, Barry ; Prather, Laurie.
    In: International Journal of Managerial Finance.
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  302. Profit efficiency in U.S. BHCs: Effects of increasing non-traditional revenue sources. (2010). Akhigbe, Aigbe ; Stevenson, Bradley A..
    In: The Quarterly Review of Economics and Finance.
    RePEc:eee:quaeco:v:50:y:2010:i:2:p:132-140.

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  303. Back to the basics in banking? A micro-analysis of banking system stability. (2010). De Jonghe, Olivier.
    In: Journal of Financial Intermediation.
    RePEc:eee:jfinin:v:19:y:2010:i:3:p:387-417.

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  304. Bank activity and funding strategies: The impact on risk and returns. (2010). Huizinga, Harry ; Demirguc-Kunt, Asli ; Demirgu-Kunt, Asli.
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:98:y:2010:i:3:p:626-650.

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  305. The impact of off-balance-sheet activities on banks returns: An application of the ARCH-M to Canadian data. (2010). Calmès, Christian ; Theoret, Raymond .
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    RePEc:eee:jbfina:v:34:y:2010:i:7:p:1719-1728.

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  306. The effects of focus versus diversification on bank performance: Evidence from Chinese banks. (2010). Zhou, Mingming ; HASAN, IFTEKHAR ; Berger, Allen N..
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:34:y:2010:i:7:p:1417-1435.

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  307. Emerging themes in banking: Recent literature and directions for future research. (2010). Wilson, John ; Girardone, Claudia ; Casu, Barbara ; John , ; Molyneux, Philip.
    In: The British Accounting Review.
    RePEc:eee:bracre:v:42:y:2010:i:3:p:153-169.

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  308. The effects of focus versus diversification on bank performance : Evidence from Chinese banks. (2010). HASAN, IFTEKHAR ; Berger, Allen N ; Zhou, Mingming.
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  309. Can Operating Leverage Be the Cause of the Value Premium?. (2010). Garcia-Feijoo, Luis ; Jorgensen, Randy D..
    In: Financial Management.
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  310. Stress testing banks profitability: the case of French banks. (2010). Coffinet, Jerome ; Lin, S..
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  311. Income diversification in the German banking industry. (2009). Kick, Thomas ; Busch, Ramona.
    In: Discussion Paper Series 2: Banking and Financial Studies.
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  312. Bank activity and funding strategies : the impact on risk and returns. (2009). Huizinga, Harry ; Demirguc-Kunt, Asli.
    In: Policy Research Working Paper Series.
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  313. Back to Basics in Banking? A Micro-Analysis of Banking System Stability. (2009). De Jonghe, Olivier.
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    RePEc:tiu:tiutis:9650fd91-53ee-4ed5-9786-625f1fd1d191.

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  314. Bank Activity and Funding Strategies : The Impact on Risk and Return. (2009). Huizinga, Harry ; Demirguc-Kunt, A.
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  315. Back to Basics in Banking? A Micro-Analysis of Banking System Stability. (2009). De Jonghe, Olivier.
    In: Discussion Paper.
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  316. Bank Activity and Funding Strategies : The Impact on Risk and Return. (2009). Huizinga, Harry ; Demirguc-Kunt, Asli.
    In: Discussion Paper.
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  317. Back to the Basics in Banking? A Micro-Analysis of Banking System Stability. (2009). De Jonghe, Olivier.
    In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
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  318. Off-Balance-Sheet Activities and the Shadow Banking System: An Application of the Hausman Test with Higher Moments Instruments. (2009). Calmès, Christian ; Calmes, Christian ; Theoret, Raymond .
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  319. The Impact of Off-Balance-Sheet Activities on Banks Returns: An Application of the ARCH-M to Canadian Data. (2009). Calmès, Christian ; Calmes, Christian ; Theoret, Raymond .
    In: RePAd Working Paper Series.
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  320. The Impact of Banking Deregulation on Canadian Banks Returns. (2009). Calmès, Christian ; Calmes, Christian ; Theoret, Raymond .
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  321. Back to the basics in banking ? A micro-analysis of banking system stability. (2009). De Jonghe, Olivier.
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  322. Does the Law of One Price Hold in Euro-Area Retail Banking? An Empirical Analysis of Interest Rate Differentials across the Monetary Union. (2009). Affinito, Massimiliano ; Farabullini, Fabio .
    In: International Journal of Central Banking.
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  323. How loan portfolio diversification affects risk, efficiency and capitalization: A managerial behavior model for Austrian banks. (2009). Winkler, Gerhard ; Rossi, Stefania P. S., ; Schwaiger, Markus S..
    In: Journal of Banking & Finance.
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  324. Expansion and consolidation of bancassurance in the 21st century. (2009). Szablocs, Csaba ; Chen, Zhian ; Liao, LI ; Moshirian, Fariborz .
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:19:y:2009:i:4:p:633-644.

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  325. Bank profitability and the business cycle. (2009). Gambacorta, Leonardo ; Albertazzi, Ugo.
    In: Journal of Financial Stability.
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  326. Bank Activity and Funding Strategies: The Impact on Risk and Return. (2009). Huizinga, Harry ; Demirguc-Kunt, Asli.
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  327. Out of many, dominance by a few? Market power in the Jamaican banking sector.. (2009). Matthews, Kent ; Daley, Jenifer .
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  328. BANKS DIVERSIFICATION, CROSS-SELLING AND THE QUALITY OF BANKS LOANS. (2009). Meliciani, Valentina ; Cosci, Stefania ; Sabato, Valentina .
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  329. Analysis Of The Relevance Of Non-Traditional Activities Items Upon The Efficiency Of Chinese Banks: A Non-Stochastic Frontier DEA Approach. (2009). SUFIAN, FADZLAN.
    In: Review of Economic and Business Studies.
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  330. Banking Deregulation and Financial Stability : is it Time to re-regulate in Canada ?. (2008). Calmès, Christian ; Calmes, Christian ; Theoret, Raymond .
    In: RePAd Working Paper Series.
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  331. Leffet des activités hors bilan sur la rentabilité et la volatilité des revenus des banques canadiennes. (2008). Pellerin, Nicolas .
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  332. Bank income structure and risk: An empirical analysis of European banks. (2008). TARAZI, Amine ; NYS, Emmanuelle ; Lepetit, Laetitia ; Rous, Philippe .
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  333. The expansion of services in European banking: implications for loan pricing and interest margins. (2008). TARAZI, Amine ; NYS, Emmanuelle ; Lepetit, Laetitia ; Rous, Philippe .
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  334. Service provision and loans : Price and risk implications. (2008). NYS, Emmanuelle.
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    RePEc:hal:journl:hal-00844824.

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  335. The impact of revenue diversity on banking system stability. (2008). De Jonghe, Olivier.
    In: EIEF Working Papers Series.
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  336. FINANCIAL PERFORMANCE OF SMALL BUSINESS LOANS: INDIRECT EVIDENCE. (2008). Shaffer, Sherrill.
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  337. The diversification and financial performance of US credit unions. (2008). Wilson, John ; Goddard, John ; McKillop, Donal ; Wilson, John O. S., .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:32:y:2008:i:9:p:1836-1849.

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  338. Bank income structure and risk: An empirical analysis of European banks. (2008). TARAZI, Amine ; NYS, Emmanuelle ; Lepetit, Laetitia ; Rous, Philippe .
    In: Journal of Banking & Finance.
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  339. The contribution of product mix versus efficiency and technical change in US banking. (2008). Asaftei, Gabriel.
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  340. The expansion of services in European banking: Implications for loan pricing and interest margins. (2008). TARAZI, Amine ; NYS, Emmanuelle ; Lepetit, Laetitia ; Rous, Philippe .
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  341. Impact of nontraditional activities on scale and scope economies: A case study of Japanese regional banks. (2008). Harimaya, Kozo.
    In: Japan and the World Economy.
    RePEc:eee:japwor:v:20:y:2008:i:2:p:175-193.

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  342. On the independence of assets and liabilities: Evidence from U.S. commercial banks, 1990-2005. (2008). Yom, Chiwon ; Deyoung, Robert ; De Young, Robert.
    In: Journal of Financial Stability.
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  343. Bank Diversification and Incentives. (2008). Morrison, Alan ; Loranth, Gyongyi.
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  344. Regulating financial conglomerates. (2007). FREIXAS, XAVIER ; Morrison, Alan D. ; Loranth, Gyongyi.
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  345. Diversification and the cost of debt of bank holding companies. (2007). Mao, Connie X. ; Deng, Saiying ; Elyasiani, Elyas.
    In: Journal of Banking & Finance.
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  346. Competitive conditions among the major British banks. (2007). Zhao, Tianshu ; Matthews, Kent ; Murinde, Victor.
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  347. Does the stock market value bank diversification?. (2007). Vander Vennet, Rudi ; De Jonghe, Olivier ; Baele, Lieven.
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  348. Small European banks: Benefits from diversification?. (2007). Schaeck, Klaus ; Mercieca, Steve ; Wolfe, Simon.
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    RePEc:eee:jbfina:v:31:y:2007:i:7:p:1975-1998.

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  349. Convergence and risk-return linkages across financial service firms. (2007). Elyasiani, Elyas ; Pagano, Michael S. ; Mansur, Iqbal.
    In: Journal of Banking & Finance.
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  350. How the Internet affects output and performance at community banks. (2007). Nolle, Daniel L. ; Lang, William W. ; Deyoung, Robert ; De Young, Robert.
    In: Journal of Banking & Finance.
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  351. Predictability in the cross-section of European bank stock returns. (2007). Zimmermann, Heinz ; Erdmann, Thomas ; Drobetz, Wolfgang.
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  352. BIRTHS, DEATHS, AND MARRIAGES IN THE U.S. COMMERCIAL BANKING INDUSTRY. (2007). Miller, Stephen ; Jeon, Yongil .
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