Diversification and risk taking: an empirical analysis of the banking sector after the financial crisis
Zamagni, Luca (A.A. 2018/2019) Diversification and risk taking: an empirical analysis of the banking sector after the financial crisis. Tesi di Laurea in Microeconomic analysis, Luiss Guido Carli, relatore Valentina Meliciani, pp. 57. [Master's Degree Thesis]
Full text for this thesis not available from the repository.
Abstract/Index
Regulatory framework. Implications for banks’ business model. Literature review. Literature on the relation between diversification and risk. Empirical evidence on the relationship between diversification and risk after the financial crisis.
References
Bibliografia: pp. 46-48.
Thesis Type: | Master's Degree Thesis |
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Institution: | Luiss Guido Carli |
Degree Program: | Master's Degree Programs > Master's Degree Program in Economics and Finance (LM-56) |
Chair: | Microeconomic analysis |
Thesis Supervisor: | Meliciani, Valentina |
Thesis Co-Supervisor: | Giordani, Paolo |
Academic Year: | 2018/2019 |
Session: | Autumn |
Deposited by: | Alessandro Perfetti |
Date Deposited: | 06 Apr 2020 14:21 |
Last Modified: | 06 Apr 2020 14:21 |
URI: | https://tesi.luiss.it/id/eprint/26286 |
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