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Risk management, corporate governance, and bank performance in the financial crisis
Journal of Banking & Finance · 2011 · Vol. 36(12) · pp. 3213–3226
Vincent Aebi(Swiss Finance Institute)Gabriele Sabato(De Nederlandsche Bank)Markus Schmid✉(University of Mannheim)
Corporate Finance and GovernanceBanking stability, regulation, efficiencyFinancial Markets and Investment StrategiesCorporate governanceBusinessAccountingFinancial crisisChief executive officerIndependence (probability theory)Financial systemStock (firearms)FinanceEconomics
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Cited by
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References
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The Journal of Finance · 1993 · 8,618 citations
Deciphering the Liquidity and Credit Crunch 2007–2008
The Journal of Economic Perspectives · 2009 · 3,367 citations
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