Risk averse bank managers: Exogenous shocks, portfolio reallocations and market spillovers

B-Tier
Journal: Journal of Banking & Finance
Year: 1998
Volume: 22
Issue: 2
Pages: 161-174

Score contribution per author:

2.011 = (α=2.01 / 1 authors) × 1.0x B-tier

α: calibrated so average coauthorship-adjusted count equals average raw count

Technical Details

RePEc Handle
repec:eee:jbfina:v:22:y:1998:i:2:p:161-174
Journal Field
Finance
Author Count
1
Added to Database
2026-01-28