Regulation of bank capital portfolio risk
Year of publication: |
1980
|
---|---|
Authors: | Koehn, Michael |
Published in: |
The journal of finance : the journal of the American Finance Association. - Hoboken, NJ [u.a.] : Wiley, ISSN 0022-1082, ZDB-ID 218191-5. - Vol. 35.1980, 5, p. 1235-1244
|
Subject: | USA | Bank | Kapital | Kapitalanalage |
-
Multinationals : bank and corporation relationships
Pastré, Olivier, (1981)
-
The impact of inflation on the capital adequacy of commercial banks
Nelson, Richard W., (1975)
-
Bank capital forbearance and public policy
Kaufman, George C., (1987)
- More ...
-
Regulation of Bank Capital and Portfolio Risk.
Koehn, Michael, (1980)
-
Regulation of Bank Capital and Portfolio Risk
Koehn, Michael,
-
The Mutual Fund Industry : Competition and Investor Welfare
Hubbard, R. Glenn, (2010)
- More ...