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The paper investigates how the characteristics of the distribution network and the affiliation to a banking group affect mutual funds performance exploiting a unique dataset with extremely detailed information on funds' portfolios and bank-issuer relationships for the period 2006-2017. We find...
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We assess the long-term funding conditions for banks in the US, the euro area and the UK and, separately, for the group of global systemically important financial institutions (G-SIFIs), over the period 1997-2011. After the outbreak of the subprime crisis there was a considerable reshuffling of...
Persistent link: https://www.econbiz.de/10013097942
We assess the long-term funding conditions for banks in the US, euro area and the UK and, separately, for the group of global systemically important financial institutions (G-SIFIs), over the period 1997-2011. After the outbreak of the subprime crisis there was a considerable reshuffling of the...
Persistent link: https://www.econbiz.de/10013090420
Italian Abstract: Il lavoro analizza per la prima volta gli investimenti di portafoglio sottostanti i prodotti italiani del risparmio gestito detenuti dalle famiglie italiane nel periodo 2014-2016. Il portafoglio indiretto è risultato composto prevalentemente da titoli di Stato italiani, a...
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