Risk management, corporate governance, and bank performance in the financial crisis

Journal of Banking & Finance - Tập 36 - Trang 3213-3226 - 2012
Vincent Aebi1, Gabriele Sabato2, Markus Schmid3
1Swiss Institute of Banking and Finance, University of St. Gallen, CH-9000 St. Gallen, Switzerland
2Royal Bank of Scotland, Group Risk Management, 1000EA Amsterdam, Netherlands
3University of Mannheim, Finance Area, D-68131 Mannheim, Germany

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