Non-interest income, trading, and bank risk
Year of publication: |
February 2017
|
---|---|
Authors: | Chen, Carl R. ; Huang, Ying ; Zhang, Ting |
Published in: |
Journal of financial services research : JFSR. - Dordrecht [u.a.] : Springer Science + Business Media Inc., ISSN 0920-8550, ZDB-ID 1027136-3. - Vol. 51.2017, 1, p. 19-53
|
Subject: | Bank risk | Executive compensation | Bank diversification | Non-interest income | Bank trading | Quantile regression | Bankrisiko | Bank | Diversifikation | Diversification |
-
A false sense of security : why U.S. banks diversify and does it help?
Gandhi, Priyank, (2016)
-
Le Thanh Tam, (2022)
-
Financial crisis and diversification strategies : the impact on bank risk, and performance
Pham, Khanh Duy, (2021)
- More ...
-
Helping hands or grabbing hands? : an analysis of political connections and firm value
Chen, Carl R., (2017)
-
Tao, Qizhi, (2017)
-
Corporate innovation : do diverse boards help?
An, Heng, (2021)
- More ...