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We study the dependence between the downside risk of European banks and insurers. Since the downside risk of banks and insurers differs, an interesting question from a supervisory point of view is the risk reduction that derives from diversification within large banks and financial...
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enhances the incentives of banks to expand within Euroland. Yet, while the currency bias in bank portfolios will be eliminated …
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years 1980-1995 and providing empirical evidence for six European countries, namely Germany, France, Italy, the UK, Belgium …
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