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Current research, especially after the financial crisis, highlights different key determinants of high risk bank … business models on the bank risk with the purpose of enabling early identification of signals of risk and timely application of … price and its volatility, with sufficiently liquid shares listed on public stock exchanges, is representative of bank risk …
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geographic complexity can engender explicit trade-offs between the agency problems that increase risk and the diversification …, liquidity management, and synergy improvements that reduce risk. The outcomes of such trade-offs may depend on bank governance … this type of complexity, leading to a decrease in systemic risk and an increase in liquidity risk among BHCs. While bank …
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