The effects of diversification on banks' expected returns
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Borradores de Economía; No. 524
Date published
2008-08-10
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2008-08-10
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Las opiniones contenidas en el presente documento son responsabilidad exclusiva de los autores y no comprometen al Banco de la República ni a su Junta Directiva.
The opinions contained in this document are the sole responsibility of the author and do not commit Banco de la República or its Board of Directors.
Abstract
In financial theory, the optimal allocation of assets and its relationship with profitability has been one of the main concerns; the question has always been if banks should focus or diversify their assets. In our case, we would like to answer this questi
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Esta obra está bajo licencia internacional Creative Commons Reconocimiento-NoComercial 4.0.
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