Добірка наукової літератури з теми "Financial institutions"

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Статті в журналах з теми "Financial institutions"

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Dr., Riazuddin Ahmed. "A Marketing of Innovative E-Financial Services with Reference to SBI and ICICI Bank." International Journal of Innovative Science and Research Technology 7, no. 12 (2023): 1921–31. https://doi.org/10.5281/zenodo.7547456.

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Electronic Financial services is consists of the financial market such as Bank ,Non banking financial Institutions, etc. and theses e-Financial Institution transfer the fianancials services from saving to investments. These Services rendered by the Financials institutions are called as Financial Services. Median defines financial services activities. This e-financials sector has been growing in term of number and quality financial of services. After the liberalization of Indian Economy in 1990s, the number of financial services is increasing day by day. New trends and Innovative financial Serv
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2

Pass, Christopher L., and Stephen F. Witt. "Financial Institutions, Corporate Control and Financing." Managerial Finance 11, no. 3/4 (1985): 61–72. http://dx.doi.org/10.1108/eb013552.

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3

A.Royyan. "Konsep Manajemen Risiko." Jurnal Penelitian Ilmu Ekonomi dan Keuangan Syariah 1, no. 3 (2023): 130–37. http://dx.doi.org/10.59059/jupiekes.v1i3.322.

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The development of the world financial system has led to the increasing importance of the role of professional financial institution management. Financial institutions are institutions that manage financial resources from other parties to be used for more productive activities. Advances in technology, information systems, and market openness at a wider level, for example at the global level, require financial institutions to be more careful in managing their business so as not to fall into losses that can involve many parties. This potential loss can arise from an institution's failure to mana
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4

Gu, Ruitao, Qiaoyun Zhang, and Wei Zhou. "Judging the True Health of Finance Institutions Based on Risk Behavior and Operation Performance." Mathematical Problems in Engineering 2022 (November 26, 2022): 1–21. http://dx.doi.org/10.1155/2022/3532409.

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As the core of the financial system, financial institutions are playing a significant role in financial stability in the process of development; traditional analysis mainly discusses the institution’s revenue of assets. However, the current financial stability system pays more attention to financial institution risk behavior and operational efficiency; to solve the previous two issues, we propose the two-stage model. Firstly, we measure the dynamic financial institution’s risk behavior coefficient based on the volatility and return principle for different institutions. Secondly, according to t
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5

Nurul Fauzi, Andrew Makmur, Irda Rosita, Desi Handayani, and Gustati. "Investigating Financial Reporting Practices in Hybrid Financial Institusions in Indonesia." Entrepreneurship and Small Business Research 1, no. 3 (2022): 53–61. http://dx.doi.org/10.55980/esber.v1i3.57.

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Hybrid financial institutions are sociopreneur organizations that carry out business activities with the aim of making profits and helping the community. Although these financial institutions make significant economic and social contributions to society, their financial reporting models still do not adequately present economic and non-economic information. This study aims to understand how financial reporting practices in financial institutions that have two functions or are often called hybrid financial institutions (profit motive and social motive) in Indonesia, especially in customary finan
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Khmelkov, Andrii. "Financial institutions and financial control." Ekonomìčna teorìâ 2021, no. 2 (2021): 47–64. http://dx.doi.org/10.15407/etet2021.02.047.

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The article points out that the institution of financial control has clearly defined limits of application in society, while the scope of its direct application is the formation, distribution and use of public finances. The author shows that the institution of control has a binary nature, whose consideration allows to distinguish between its formal and informal content and to find ways to improve the efficiency of its use. The informal content of the institution of control is related to the financial morality of society and its members, and the formal one — to the competence or practice of age
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7

Huang, Haizhou, and Chenggang Xu. "Financial Institutions, Financial Contagion, and Financial Crises." IMF Working Papers 00, no. 92 (2000): 1. http://dx.doi.org/10.5089/9781451851588.001.

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8

Hanif, Muhammad. "Musharaka Financing by Islamic Financial Institutions." SSRN Electronic Journal, 2011. http://dx.doi.org/10.2139/ssrn.1782719.

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9

Jamaludin, Azahari, and Fais Ahmad. "Managing Financing Risks in Financial Institutions." Asian Journal of Finance & Accounting 5, no. 1 (2013). http://dx.doi.org/10.5296/ajfa.v5i1.3233.

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Chava, Sudheer, Rohan Ganduri, and Vijay Yerramilli. "Do Bond Investors Price Tail Risk Exposures of Financial Institutions?" Quarterly Journal of Finance, November 10, 2020, 2150003. http://dx.doi.org/10.1142/s2010139221500038.

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We analyze whether bond investors price tail risk exposures of financial institutions using a comprehensive sample of bond issuances by U.S. financial institutions. Although primary bond yield spreads increase with an institution’s own tail risk (expected shortfall), systematic tail risk (marginal expected shortfall) of the institution doesn’t affect its yields. The relationship between yield spreads and tail risk is significantly weaker for depository institutions, large institutions, government-sponsored entities, politically-connected institutions, and in periods following large-scale bailo
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Дисертації з теми "Financial institutions"

1

Wong, Shy Kuo. "Valuation of financial institutions." Thesis, Lancaster University, 2001. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.403782.

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2

Kim, Kyungmin, and Robert M. 1948 Townsend. "Essays on financial institutions." Thesis, Massachusetts Institute of Technology, 2015. http://hdl.handle.net/1721.1/98687.

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Thesis: Ph. D., Massachusetts Institute of Technology, Department of Economics, 2015.<br>Chapter 2 co-authored with Robert Townsend. Cataloged from PDF version of thesis.<br>Includes bibliographical references.<br>In the first chapter, I study how banks lend or borrow liquidity in the interbank market and what I can learn about the macro-economy from the interbank market. From a unique database of interbank loan transactions in Mexico, I observe that interest rates vary across different lender-borrower pairs. I find that this variation is driven by the variation across different banks in their
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3

Lukanda, Kapwadi Francky. "Legal accountability of international financial institutions in financing development." Thesis, University of Pretoria, 2009. http://hdl.handle.net/2263/67776.

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This study interrogated the softness and hardness of the law of IFIs to determine the extent to which underlying accountability mechanisms have achieved or failed to achieve the level of accountability and justice expected by affected non-state third parties. It also aimed at investigating the process of financing for development in order to further the understanding of the challenges of holding IFIs to account for the unintended consequences of the projects they have funded. The study critically examined the legal accountability mechanisms of selected IFIs at the institutional, internat
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4

Alamad, Samir. "Financial innovation and engineering in Islamic financial institutions." Thesis, Aston University, 2016. http://publications.aston.ac.uk/28659/.

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Drawing from work found in the financial innovation literature, the main objective of this research is to explore the effect of religious orientation towards financial innovation and engineering in Islamic Financial Institutions (IFIs). The research also examines what constitutes this religious orientation and how it is enacted in the innovation process. Religious orientation towards financial innovation is conceptualised and defined, as a system, in this research study. In order to achieve this objective, the study employs multiple theoretical perspectives to develop its theoretical framework
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5

Ding, Lei. "Financial institutions and asset prices." Thesis, Imperial College London, 2014. http://hdl.handle.net/10044/1/27230.

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This thesis analyses the role of financial institutions in determining asset prices both theoretically and empirically, and consists of three papers. Chapter 1 provides the motivation and a detailed summary of the three papers. Chapter 2 focuses on the hedge fund industry that has come to play a prominent role in today's financial markets due to its explosive growth. Fierce competition for funds generates relative performance objectives for managers. This paper studies how a hedge-fund manager's investment decision is affected by her tournament concern, incentive contract and liquidation threa
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6

Nikoloski, Z. "Institutions, financial crises and welfare." Thesis, University College London (University of London), 2011. http://discovery.ucl.ac.uk/1322962/.

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The aims of this thesis are threefold: (i) to investigate empirically the political and economic determinants of income inequality, paying particular attention to the role of institutions and institutional development; (ii) to determine the impact of macro-shocks (such as financial crises) on some of the most widely used human well-being indicators, such as poverty and mortality; (iii) to assess the importance of institutions and institutional change, investigating the impact of key aspects of institutional change in former communist countries (rapid privatization programmes) onto human well-b
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7

Martins, Joana Sofia Luís. "Credit risk of financial institutions." Master's thesis, NSBE - UNL, 2014. http://hdl.handle.net/10362/11692.

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A Work Project, presented as part of the requirements for the Award of a Masters Degree in Finance from the NOVA – School of Business and Economics<br>Although there is substantial literature on credit risk, studies often do not consider financial institutions. However, considering that several entities are exposed to these institutions, namely through the counterparty role that they play, it is of major relevance the accurate assessment of its credit risk. As such, this study aims at analysing three different models to measure credit risk of financial institutions and conclude which one best
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8

Cheung, Lo. "International financial centers under different political systems a study of financial center development in China /." Click to view the E-thesis via HKUTO, 2006. http://sunzi.lib.hku.hk/hkuto/record/B36548340.

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9

Mokbel, Rita. "Systemic risk in financial economic institutions." Thesis, Besançon, 2016. http://www.theses.fr/2016BESA2080.

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Les crises financières et les problèmes se formaient mais les indicateurs ne sont pas précis pour permettre une intervention réglementaire. La thèse propose un modèle dynamique pour le système bancaire avec une banque centrale afin de calculer un indicateur de faillite en fonction de la probabilité qu'une banque soit en faillite et les pertes rencontrées dans le réseau financier, une méthodologie qui peut améliorer la mesure, le suivi et la gestion du risque systémique.La thèse propose également des mécanismes de compensation : 1- avec un modèle considérant l'ancienneté du passif et avec un ty
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Kang, Di. "TWO ESSAYS ON NONBANK FINANCIAL INSTITUTIONS." UKnowledge, 2014. http://uknowledge.uky.edu/finance_etds/3.

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Evidence shows that nonbanks, which are now significant participants in the corporate loan market, exploit information gained from lending to trade in public securities. In the first essay, I examine whether these institutions use loan-based information to facilitate merger and acquisition (M&A) deals. I find that firms are more likely to become targets if they borrow from nonbanks rather than banks. Borrowing from a larger number of nonbanks or from those with a sizeable client network also enhances a firm’s acquisition prospects. When nonbanks gain more information about borrowers through lo
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Книги з теми "Financial institutions"

1

Rose, Peter S. Financial institutions. 2nd ed. Business Publications, 1985.

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2

Kolb, Robert W. Financial institutions. Blackwell, 1996.

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3

Fajardo, Feliciano R. Financial institutions. National Book Store, 1985.

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4

Maine. Bureau of Employment Security. Division of Economic Analysis and Research., ed. Financial institutions. The Division, 1990.

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5

Cooperman, Elizabeth. Managing Financial Institutions. Routledge, 2016. http://dx.doi.org/10.4324/9781315707532.

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6

1952-, Thomas Hugh, ed. Financial institutions management. Irwin, 1997.

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7

L, Mills Dixie, and Cooperman Elizabeth S. 1949-, eds. Managing financial institutions. 5th ed. Thomson/South-Western, 2005.

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8

Mishkin, Frederic S. Financial markets & institutions. 4th ed. Addison-Wesley, 2003.

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9

McGladrey & Pullen., ed. Financial Institutions Manual. McGladrey & Pullen, 1993.

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10

Everett, Dianne. Financial institutions law. 2nd ed. Serendip Publications, 1990.

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Частини книг з теми "Financial institutions"

1

Young, R. "Financial Institutions." In Work Out Economics GCSE. Macmillan Education UK, 1987. http://dx.doi.org/10.1007/978-1-349-09348-9_13.

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2

Pilbeam, Keith. "Financial Institutions." In Finance and Financial Markets. Macmillan Education UK, 2005. http://dx.doi.org/10.1007/978-1-349-26273-1_3.

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3

Pilbeam, Keith. "Financial Institutions." In Finance & Financial Markets. Macmillan Education UK, 2010. http://dx.doi.org/10.1007/978-1-137-09043-0_3.

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4

Pilbeam, Keith. "Financial Institutions." In Finance & Financial Markets. Macmillan Education UK, 2018. http://dx.doi.org/10.1057/978-1-137-51563-6_3.

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5

Vargas, Carlos. "Financial institutions." In Sustainable Finance Fundamentals. Routledge, 2023. http://dx.doi.org/10.4324/9781003274735-3.

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6

Johany, Ali D., Michel Berne, and J. Wilson Mixon. "Financial Institutions." In The Saudi Arabian Economy. Routledge, 2025. https://doi.org/10.4324/9781003604501-15.

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7

Ghatak, Subrata, and José R. Sánchez-Fung. "Rural financial institutions." In Monetary Economics in Developing Countries. Macmillan Education UK, 2007. http://dx.doi.org/10.1007/978-1-137-02157-1_3.

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Geisst, Charles R. "International Financial Institutions." In A Guide to Financial Institutions. Palgrave Macmillan UK, 1988. http://dx.doi.org/10.1007/978-1-349-18807-9_2.

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Cousin, Violaine. "Rural Financial Institutions." In Banking in China. Palgrave Macmillan UK, 2011. http://dx.doi.org/10.1057/9780230306967_11.

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Brown, Rajeswary Ampalavanar. "Indian financial institutions." In The Chinese and Indian Corporate Economies. Routledge, 2017. http://dx.doi.org/10.4324/9781315680828-12.

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Тези доповідей конференцій з теми "Financial institutions"

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Lazo Moscosos, Miguel A., Pedro E. Sánchez Anccori, and Wilder Nina Choquehuayta. "Hardening to Improve the Security of Financial Institutions." In 2024 IEEE XXXI International Conference on Electronics, Electrical Engineering and Computing (INTERCON). IEEE, 2024. https://doi.org/10.1109/intercon63140.2024.10833467.

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Tyurikov, Alexandr. "Financial Literacy Institutions Of Russia." In International Scientific and Practical Conference «MAN. SOCIETY. COMMUNICATION». European Publisher, 2021. http://dx.doi.org/10.15405/epsbs.2021.05.02.160.

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3

Kedarya, Tomer, Rafael Sherbu Cohen, and Amir Elalouf. "Calculating Reputation Risk of Financial Institutions." In 2020 7th International Conference on Control, Decision and Information Technologies (CoDIT). IEEE, 2020. http://dx.doi.org/10.1109/codit49905.2020.9263909.

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Istrefi, Vjollca. "Corporate governance in Islamic financial institutions." In New Challenges in Corporate Governance: Theory and Practice. Virtus Interpress, 2019. http://dx.doi.org/10.22495/ncpr_18.

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Darapaneni, Narayana, Akshay Kumar, Archanna Dixet, Manikandan Suriyanarayanan, Shabd Srivastava, and Anwesh Reddy Paduri. "Loan Prediction Software for Financial Institutions." In 2022 Interdisciplinary Research in Technology and Management (IRTM). IEEE, 2022. http://dx.doi.org/10.1109/irtm54583.2022.9791797.

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Assilova, A. S. "Strategic investment management of financial institutions." In The Paradigm of Sustainable Economic Development in the Context of Global Change: Challenges, Consequences, Opportunities. Al-Farabi Kazakh National University, 2023. http://dx.doi.org/10.26577/sedgch.2023v2ca12.

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Tucker, Joey V., Steven E. Kane, Chris C. Twyford, Scott C. Critchfield, David Blatchford, and Bruce Hayes. "Practical Realities of Project Financing through Equator Principal Financial Institutions." In International Conference on Health, Safety and Environment in Oil and Gas Exploration and Production. Society of Petroleum Engineers, 2012. http://dx.doi.org/10.2118/157839-ms.

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Aseev, Oleg. "MODERN ASPECTS OF FINANCIAL RELATIONS WITH THE INTERNATIONAL FINANCIAL INSTITUTIONS." In 5th International Multidisciplinary Scientific Conferences on SOCIAL SCIENCES and ARTS SGEM2018. STEF92 Technology, 2018. http://dx.doi.org/10.5593/sgemsocial2018/1.3/s03.030.

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Hameed Hindi, Ali, and Sarah Salam Sarhan. "Adopting the financial health model to improve banking reality." In 11th International Conference of Economic and Administrative Reform: Necessities and Challenges. University of Human Development, 2022. http://dx.doi.org/10.21928/icearnc/9.

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"The health reality of financial and banking institutions is achieved only through optimal financial management, and correct application of financial decisions. This study came to contribute to improving the Iraqi banking reality by adopting the financial health model to assess the reality of working in Iraqi private banks. Financial health is one of the modern and important topics in the field of banking, which is used to assess the financial condition of any financial institution as a tool that shows the institution’s ability to use its financial resources efficiently, as well as its ability
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Hameed Hindi, Ali, and Sarah Salam Sarhan. "Adopting the financial health model to improve banking reality." In 11th International Conference of Economic and Administrative Reform: Necessities and Challenges. University of Human Development, 2022. http://dx.doi.org/10.21928/uhdicearnc/9.

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"The health reality of financial and banking institutions is achieved only through optimal financial management, and correct application of financial decisions. This study came to contribute to improving the Iraqi banking reality by adopting the financial health model to assess the reality of working in Iraqi private banks. Financial health is one of the modern and important topics in the field of banking, which is used to assess the financial condition of any financial institution as a tool that shows the institution’s ability to use its financial resources efficiently, as well as its ability
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Звіти організацій з теми "Financial institutions"

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Flaming, Mark, Martin Holtmann, and Rochus Mommartz. Technical Guide for the Analysis of Microenterprise Financial Institutions. Inter-American Development Bank, 1999. http://dx.doi.org/10.18235/0008869.

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The purpose of this technical guide is to provide a standard format for the analysis of institutions that provide financial services to the microenterprise sector. The technical guide outlines the appropriate techniques and scope of analysis for evaluating and designing programs of support to specialized financial institutions. The analytical techniques presented in this guide are structured to facilitate the process of institutional analysis and project design represented in the diagram below. The analytical framework applied in this technical guide is comprised of two basic components. The f
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2

Beck, Thorsten, and Ross Levine. Legal Institutions and Financial Development. National Bureau of Economic Research, 2003. http://dx.doi.org/10.3386/w10126.

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3

Beck, Thorsten, and Ross Levine. Legal Institutions and Financial Development. National Bureau of Economic Research, 2004. http://dx.doi.org/10.3386/w10417.

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4

Rampini, Adriano, S. Viswanathan, and Guillaume Vuillemey. Risk Management in Financial Institutions. National Bureau of Economic Research, 2019. http://dx.doi.org/10.3386/w25698.

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Carey, Mark, and Rene Stulz. The Risks of Financial Institutions. National Bureau of Economic Research, 2005. http://dx.doi.org/10.3386/w11442.

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Alquist, Ron, Nicolas Berman, Rahul Mukherjee, and Linda Tesar. Financial Constraints, Institutions, and Foreign Ownership. National Bureau of Economic Research, 2018. http://dx.doi.org/10.3386/w24241.

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van Wincoop, Eric. International Contagion Through Leveraged Financial Institutions. National Bureau of Economic Research, 2011. http://dx.doi.org/10.3386/w17686.

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Galiani, Sebastian, Paul Gertler, and Camila Navajas Ahumada. Trust and Saving in Financial Institutions. National Bureau of Economic Research, 2020. http://dx.doi.org/10.3386/w26809.

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Merton, Robert. Financial Innovation and the Management and Regulation of Financial Institutions. National Bureau of Economic Research, 1995. http://dx.doi.org/10.3386/w5096.

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Calomiris, Charles, and Mark Carlson. Restoring Confidence in Troubled Financial Institutions After a Financial Crisis. National Bureau of Economic Research, 2022. http://dx.doi.org/10.3386/w30226.

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