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Effects of regulatory change on European banks: A case study on the strategy and stock market performance of Lloyds Bank (1980-1993)

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  • Bernardo Batiz-Lazo

    (Open University)

  • Douglas Wood

    (Manchester Business School)

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File URL: http://128.118.178.162/eps/eh/papers/0301/0301004.pdf
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Bibliographic Info

Paper provided by EconWPA in its series Economic History with number 0301004.

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Length: 32 pages
Date of creation: 19 Jan 2003
Date of revision:
Handle: RePEc:wpa:wuwpeh:0301004

Note: Type of Document - pdf; prepared on ; to print on ; pages: 32 ; figures: bbllloydstab.pdf.
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Web page: http://128.118.178.162

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  1. Leamer, Edward E, 1985. "Sensitivity Analyses Would Help," American Economic Review, American Economic Association, vol. 75(3), pages 308-13, June.
  2. Humphrey, David B & Pulley, Lawrence B, 1997. "Banks' Responses to Deregulation: Profits, Technology, and Efficiency," Journal of Money, Credit and Banking, Blackwell Publishing, vol. 29(1), pages 73-93, February.
  3. Allen Berger, 1994. "The Relationship Between Capital and Earnings in Banking," Center for Financial Institutions Working Papers 94-17, Wharton School Center for Financial Institutions, University of Pennsylvania.
  4. Morgan, Alison & Morgan, Ieuan, 1987. "Measurement of Abnormal Returns from Small Firms," Journal of Business & Economic Statistics, American Statistical Association, vol. 5(1), pages 121-29, January.
  5. Kryzanowski, Lawrence & Zhang, Hao, 1993. "Market behaviour around Canadian stock-split ex-dates," Journal of Empirical Finance, Elsevier, vol. 1(1), pages 57-81, June.
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