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Commercial banks in investment banking Conflict of interest or certification role?

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Puri, Manju
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Article provided by Elsevier in its journal Journal of Financial Economics.

Volume (Year): 40 (1996)
Issue (Month): 3 (March)
Pages: 373-401
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Handle: RePEc:eee:jfinec:v:40:y:1996:i:3:p:373-401

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  1. Linda Allen & Julapa Jagtiani, 1996. "Risk and Market Segmentation in Financial Intermediaries’ Returns," Center for Financial Institutions Working Papers 96-36, Wharton School Center for Financial Institutions, University of Pennsylvania. [Downloadable!]
  2. Paul Gompers & Josh Lerner, 1998. "Conflict of Interest in the Issuance of Public Securities: Evidence from Venture Capital," NBER Working Papers 6847, National Bureau of Economic Research, Inc. [Downloadable!] (restricted)
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  3. Steven Drucker & Manju Puri, 2004. "Tying knots: lending to win equity underwriting business," Proceedings, Federal Reserve Bank of Chicago, issue May, pages 428-435. [Downloadable!]
  4. Philip E. Strahan & Amir Sufi, 2001. "Expansion of bank powers: who gains the most?," Proceedings, Federal Reserve Bank of Chicago, issue May, pages 682-698.
  5. James R. Barth & R. Dan Brumbaugh Jr. & James A. Wilcox, 2000. "Policy Watch: The Repeal of Glass-Steagall and the Advent of Broad Banking," Journal of Economic Perspectives, American Economic Association, vol. 14(2), pages 191-204, Spring. [Downloadable!] (restricted)
  6. Steven Drucker, 2005. "Information asymmetries and the effects of banking mergers of firm-bank relationships," Proceedings, Federal Reserve Bank of Chicago, issue May, pages 140-147. [Downloadable!]
  7. João dos Santos, 1997. "Securities activities in banking conglomerates: should their location be regulated?," Working Paper 9704, Federal Reserve Bank of Cleveland. [Downloadable!]
  8. Wolfgang Bessler & Andreas Kurth, 2007. "Agency Problems and the Performance of Venture-backed IPOs in Germany: Exit Strategies, Lock-up Periods, and Bank Ownership," European Journal of Finance, Taylor and Francis Journals, vol. 13(1), pages 29-63. [Downloadable!] (restricted)
  9. Laeven, Luc & Levine, Ross, 2005. "Is There a Diversification Discount in Financial Conglomerates?," CEPR Discussion Papers 5121, C.E.P.R. Discussion Papers. [Downloadable!] (restricted)
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  10. Kenji Ketsuna & Janet Kiholm Smith & Richard L. Smith, 2003. "Banking Relationships and Access to Equity Capital Markets: Evidence from Japan’s Main Bank System," Claremont Colleges Working Papers 2003-09, Claremont Colleges. [Downloadable!]
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  11. Luca Benzoni & Carola Schenone, 2007. "Conflict of interest and certification in the U.S. IPO market," Working Paper Series WP-07-09, Federal Reserve Bank of Chicago. [Downloadable!]
  12. Kenneth A. Carow & Edward J. Kane, 2001. "Event-Study Evidence of the Value of Relaxing Longstanding Regulatory Restraints on Banks, 1970-2000," NBER Working Papers 8594, National Bureau of Economic Research, Inc. [Downloadable!] (restricted)
  13. Steven Drucker & Manju Puri, 2004. "The Tying of Lending and Equity Underwriting," NBER Working Papers 10491, National Bureau of Economic Research, Inc. [Downloadable!] (restricted)
  14. Yasushi Hamao & Frank Packer & Jay R. Ritter, 1998. "Institutional affiliation and the role of venture capital: evidence from initial public offerings in Japan," Staff Reports 52, Federal Reserve Bank of New York. [Downloadable!]
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  15. Allen N. Berger, 2000. "The integration of the financial services industry: where are the efficiencies?," Finance and Economics Discussion Series 2000-36, Board of Governors of the Federal Reserve System (U.S.). [Downloadable!]
  16. David P. Ely & Kenneth J. Robinson, 1999. "The determinants of the wealth effects of banks' expanded securities powers," Financial Industry Studies Working Paper 99-1, Federal Reserve Bank of Dallas. [Downloadable!]
  17. Barth, James R. & Caprio Jr., Gerard & Levine, Ross, 1999. "Financial regulation and performance : cross-country evidence," Policy Research Working Paper Series 2037, The World Bank. [Downloadable!]
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  18. Anthony M Santomero & David L. Eckles, 2000. "The Determinants Of Success In the New Financial Services Environment: Now That Firms Can Do Everything, What Should They Do And Why Should Regulators Care?," Center for Financial Institutions Working Papers 00-32, Wharton School Center for Financial Institutions, University of Pennsylvania. [Downloadable!]
  19. Charles Calomiris & Thanavut Pornrojnangkool, 2006. "Relationship Banking and the Pricing of Financial Services," NBER Working Papers 12622, National Bureau of Economic Research, Inc. [Downloadable!] (restricted)
  20. Hvide, Hans K., 2004. "A Theory of Certification with an Application to the Market for Auditing Services," Discussion Papers 2004/10, Department of Finance and Management Science, Norwegian School of Economics and Business Administration. [Downloadable!]
  21. Ingo Walter & Elif Sisli, 2006. "The Asset Management Industry in Asia: Dynamics of Growth, Structure, and Performance," Working Papers 06-29, New York University, Leonard N. Stern School of Business, Department of Economics. [Downloadable!]
  22. Bourjade, Sylvain, 2002. "Diversification of Investor's Expertise in IPOs," MPRA Paper 7259, University Library of Munich, Germany, revised Dec 2007. [Downloadable!]
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