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Reputational Risk and Conflicts of Interest in Banking and Finance: The Evidence So Far

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  • Ingo Walter

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  • Ingo Walter, 2006. "Reputational Risk and Conflicts of Interest in Banking and Finance: The Evidence So Far," Working Papers 06-27, New York University, Leonard N. Stern School of Business, Department of Economics.
  • Handle: RePEc:ste:nystbu:06-27
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    File URL: http://w4.stern.nyu.edu/economics/docs/workingpapers/2006/6_27_walter_reputational_risk.pdf
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    References listed on IDEAS

    as
    1. Laeven, Luc & Levine, Ross, 2007. "Is there a diversification discount in financial conglomerates?," Journal of Financial Economics, Elsevier, vol. 85(2), pages 331-367, August.
    2. George Kanatas & Jianping Qi, 2003. "Integration of Lending and Underwriting: Implications of Scope Economies," Journal of Finance, American Finance Association, vol. 58(3), pages 1167-1191, June.
    3. Schmid, Markus M. & Walter, Ingo, 2009. "Do financial conglomerates create or destroy economic value?," Journal of Financial Intermediation, Elsevier, vol. 18(2), pages 193-216, April.
    4. Brown, Stephen J. & Warner, Jerold B., 1985. "Using daily stock returns : The case of event studies," Journal of Financial Economics, Elsevier, vol. 14(1), pages 3-31, March.
    5. de Fontnouvelle, Patrick & Dejesus-Rueff, Virginia & Jordan, John S. & Rosengren, Eric S., 2006. "Capital and Risk: New Evidence on Implications of Large Operational Losses," Journal of Money, Credit and Banking, Blackwell Publishing, vol. 38(7), pages 1819-1846, October.
    6. Chemmanur, Thomas J & Fulghieri, Paolo, 1994. "Investment Bank Reputation, Information Production, and Financial Intermediation," Journal of Finance, American Finance Association, vol. 49(1), pages 57-79, March.
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    Blog mentions

    As found by EconAcademics.org, the blog aggregator for Economics research:
    1. Conflicts of Interest in Finance
      by Steve Cecchetti and Kim Schoenholtz in Money, Banking and Financial Markets on 2015-01-12 19:24:33

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    Cited by:

    1. International Monetary Fund, 2014. "Malaysia: Financial Sector Assessment Program Financial Sector Performance, Vulnerabilities and Derivatives-Technical Note," IMF Staff Country Reports 2014/098, International Monetary Fund.

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