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Valuing Financial Conglomerates : stylised factors and new evidence from financial crises

2016 - Franco Angeli

144 p.

The aim of this book is to provide an innovative analysis of the financial conglomerate phenomenon by combining both theoretical and empirical research methods. Moreover, new empirical evidence of the impact of diversification during the 2008-2009 and 2010-2011 financial crises on the shareholder value is presented. The book also discusses current issues and future directions for research. [Publisher's Text].

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