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Volumn 38, Issue 5, 2006, Pages 1351-1361

A portfolio view of banking with interest and noninterest activities

Author keywords

Commercial banks; Diversification; Risk

Indexed keywords


EID: 33747036456     PISSN: 00222879     EISSN: None     Source Type: Journal    
DOI: 10.1353/mcb.2006.0075     Document Type: Article
Times cited : (198)

References (11)
  • 4
    • 0031536608 scopus 로고    scopus 로고
    • Diversification, size, and risk at bank holding companies
    • Demsetz, Rebecca S., and Philip E. Strahan (1997). "Diversification, Size, and Risk at Bank Holding Companies. Journal of Money, Credit, and Banking 29 (3), 300-313.
    • (1997) Journal of Money, Credit, and Banking , vol.29 , Issue.3 , pp. 300-313
    • Demsetz, R.S.1    Strahan, P.E.2
  • 5
    • 0347137950 scopus 로고    scopus 로고
    • Product mix and earnings volatility at commercial banks: Evidence from a degree of total leverage model
    • DeYoung, Robert, and Karin P. Roland (2001). "Product Mix and Earnings Volatility at Commercial Banks: Evidence from a Degree of Total Leverage Model." Journal of Financial Intermediation 10, 54-84.
    • (2001) Journal of Financial Intermediation , vol.10 , pp. 54-84
    • DeYoung, R.1    Roland, K.P.2
  • 6
    • 8744269283 scopus 로고    scopus 로고
    • The capital assets pricing model: Theory and evidence
    • Fama, Eugene F., and Kenneth R. French (2004). "The Capital Assets Pricing Model: Theory and Evidence," Journal of Economic Perspectives 18 (3), 25-6.
    • (2004) Journal of Economic Perspectives , vol.18 , Issue.3 , pp. 25-26
    • Fama, E.F.1    French, K.R.2
  • 8
    • 84993843447 scopus 로고
    • Risk management: Coordinating corporate investment and financing policies
    • Froot, Kenneth A., David S. Scharfstein, and Jeremy C. Stein (1993). "Risk Management: Coordinating Corporate Investment and Financing Policies." Journal of Finance, XLVIII (5), 1629-1658.
    • (1993) Journal of Finance , vol.48 , Issue.5 , pp. 1629-1658
    • Froot, K.A.1    Scharfstein, D.S.2    Stein, J.C.3
  • 9
    • 0009167333 scopus 로고
    • The impact of underwriting and dealing on bank returns and risk
    • Kwast, Myron (1989). "The Impact of Underwriting and Dealing on Bank Returns and Risk." Journal of Banking and Finance 13, 101-125.
    • (1989) Journal of Banking and Finance , vol.13 , pp. 101-125
    • Kwast, M.1
  • 10
    • 3843099775 scopus 로고    scopus 로고
    • Diversification in banking: Is noninterest income the answer?
    • Stiroh, Kevin J. (2004). "Diversification in Banking: Is Noninterest Income the Answer?" Journal of Money, Credit, and Banking, 36 (5), 853-882.
    • (2004) Journal of Money, Credit, and Banking , vol.36 , Issue.5 , pp. 853-882
    • Stiroh, K.J.1


* 이 정보는 Elsevier사의 SCOPUS DB에서 KISTI가 분석하여 추출한 것입니다.