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Bank risk factors and changing risk exposures in the pre- and post-financial crisis periods: an empirical study for India

By: Sehgal, Sanjay.
Contributor(s): Agrawal, Tarunika Jain.
Material type: materialTypeLabelArticlePublisher: 2017Description: p.356-378.Subject(s): riskmanagement | Interest rate | Banks - India | Banks In: Management and Labour Studies
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Item type Current location Call number Vol info Status Date due Barcode
Articles Articles Indian Institute of Public Administration
Volume no: 42, Issue no: 4 Available AR117583

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