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Showing 1 to 1 of 1 for “"Settore ECON-09/B - Economia degli intermediari finanziari"”.

  1. Essays in Banking and Systemic Risk

    … to more concentrated portfolio allocations. The second chapter empirically investigates the sovereign-bank nexus in the Euro Area from a market perspective, showing that the introduction of the ECB’s list of Significant Institutions reduced heterogeneity in long-term market sensitivity of banks to …

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