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Volumn 20, Issue 3, 1997, Pages 389-406

Changes in market perception of riskiness: The case of too-big-to-fail

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Indexed keywords


EID: 0039636990     PISSN: 02702592     EISSN: 14756803     Source Type: Journal    
DOI: 10.1111/j.1475-6803.1997.tb00256.x     Document Type: Article
Times cited : (21)

References (15)
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    • Banks confronted with dilemma in deciding dividend policy
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  • 9
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    • Deposit insurance and wealth effects: The value of being ‘too big to fail’
    • O'Hara, M. and W. Shaw, 1990, Deposit insurance and wealth effects: The value of being ‘too big to fail’, Journal of Finance 45, 1587–1600.
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    • O'Hara, M.1    Shaw, W.2
  • 10
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    • Institutional ownership and changes in the S 8#x38; P 500
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  • 11
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  • 13
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    • Institutional ownership and the liquidity of common stock offerings
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  • 15
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* 이 정보는 Elsevier사의 SCOPUS DB에서 KISTI가 분석하여 추출한 것입니다.