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Banks' equity performance and the term structure of interest rates.
- Published in:
- Financial Markets, Institutions & Instruments, 2020, v. 29, n. 2, p. 43, doi. 10.1111/fmii.12125
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- Article
The impact of volatility derivatives on S&P500 volatility.
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- Journal of Futures Markets, 2009, v. 29, n. 12, p. 1190, doi. 10.1002/fut.20424
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- Article
The Separation of Banking from Insurance: Evidence from Europe.
- Published in:
- Multinational Finance Journal, 2008, v. 12, n. 3/4, p. 157
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- Article
Cross-Industry Product Diversification and Contagion in Risk and Return: The case of Bank-Insurance and Insurance-Bank Takeovers.
- Published in:
- Journal of Risk & Insurance, 2016, v. 83, n. 3, p. 681, doi. 10.1111/jori.12066
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- Article
Does the Stock Market Compensate Banks for Diversifying into the Insurance Business?
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- Financial Markets, Institutions & Instruments, 2011, v. 20, n. 1, p. 1, doi. 10.1111/j.1468-0416.2010.00164.x
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- Article
Financial Intermediaries and Interest Rate Risk: II.
- Published in:
- Financial Markets, Institutions & Instruments, 2006, v. 15, n. 5, p. 225, doi. 10.1111/j.1468-0416.2006.00118.x
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- Article
The Interest Rate Risk Exposure of Financial Intermediaries: A Review of the Theory and Empirical Evidence.
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- Financial Markets, Institutions & Instruments, 2003, v. 12, n. 4, p. 257, doi. 10.1111/1468-0416.t01-1-00002
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- Article
The Greek Bank-Insurance Model: A Look At A Not-So-New Corporate Structure.
- Published in:
- European Research Studies, 2008, v. 11, n. 3, p. 25
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- Article