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The last financial crisis spurred regulators to emphasize enhanced stability indicators for financial institutions. Therefore, banks have to take into account this new element while defining their strategic decisions and their profitability. The aim of this paper is to provide evidence of the...
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The China business model in context--setting the scene / Elisabeth Paulet, Chris Rowley -- Guanxi culture: how it affects the business model of Chinese firms -- Zhang Chi, Hong Seock-Jin -- Interpreting China's model for business : roles of corruption, favoritism, reliability, and responsibility...
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[eng] Financial liberalisation has led to a large increase in the number of sources of finance for companies. The question is whether all companies have access to these various instruments. The aim of this article is to identify these characteristics as a function of size of company for the...
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This paper intends to use a conceptual paradigm to discuss the ambiguity of corporate governance while issuing shares to maintain their capital adequacy for European cooperative banks. It thus provides theoretical evidence for the arbitrage between stakeholder and shareholder control for these...
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