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bank lending. We are using a dataset on assets and liabilities of commercial banks from five countries (France, Germany …, Italy, UK, US) in up to 50 host countries for the years 1983 through 1998 to test this hypothesis. For the European banks …
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We compute optimally diversified international asset portfolios for banks located in France, Germany, Italy, the U …
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-ins for monetary union with respect to Germany. Using tests for cointegration and common features for monthly data during the …
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Information costs and regulatory barriers are the main distinguishing features of international financial markets as compared to national financial markets. This paper presents a simple model of the impact of these factors on banks' cross-border activities and provides empirical evidence. Our...
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