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Is bank diversification a linking channel between regulatory capital and bank value?. (2022). Velasco, Pilar.
In: The British Accounting Review.
RePEc:eee:bracre:v:54:y:2022:i:4:s0890838921000962.

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  1. Machine Learning for Predicting Bank Stability: The Role of Income Diversification in European Banking. (2025). Krasniqi, Nol ; Mahmoud, Ahmed ; Luqman, Rabia ; Mutai, Noah Cheruiyot ; Ali, Loubna ; Farag, Karim.
    In: FinTech.
    RePEc:gam:jfinte:v:4:y:2025:i:2:p:21-:d:1669575.

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  2. Bank funding diversity, risk and profitability: Evidence from Vietnam in the context of the Covid-19 pandemic. (2023). Nguyen, Nhat Minh ; Pham, Manh Hung.
    In: Cogent Business & Management.
    RePEc:taf:oabmxx:v:10:y:2023:i:1:p:2191305.

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  52. Foreign investment and productivity growth in Czech enterprises. (1999). Hoekman, Bernard ; Djankov, Simeon.
    In: Policy Research Working Paper Series.
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  53. Estimación de un Sistema de Demanda Censurado: El Caso del Gran Santiago. (1999). Donoso, Guillermo ; Cancino, Jose .
    In: Latin American Journal of Economics-formerly Cuadernos de Economía.
    RePEc:ioe:cuadec:v:36:y:1999:i:109:p:979-1004.

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  54. Testing the Family Common Preference Model for Immigrant and Non-Immigrant Womens Labour Supply. (1999). Biswal, Urvashi Dhawan.
    In: Canadian Public Policy.
    RePEc:cpp:issued:v:25:y:1999:i:s1:p:95-114.

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  55. A tobit model with garch errors. (1997). Fiorentini, Gabriele ; Calzolari, Giorgio.
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    RePEc:ivi:wpasad:1997-13.

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  56. Endogeneity in a Binomial Model. (1997). Brännäs, Kurt ; Eriksson, Maria.
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    In: STICERD - Economics of Industry Papers.
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    In: Environmental & Resource Economics.
    RePEc:kap:enreec:v:4:y:1994:i:5:p:511-526.

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  59. Classical Estimation Methods for LDV Models Using Simulation. (1993). Ruud, Paul ; hajivassiliou, vassilis.
    In: Econometrics.
    RePEc:wpa:wuwpem:9311002.

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  60. A maximum likelihood method for latent class regression involving a censored dependent variable. (1993). Desarbo, Wayne ; Ramaswamy, Venkatram ; Jedidi, Kamel.
    In: Psychometrika.
    RePEc:spr:psycho:v:58:y:1993:i:3:p:375-394.

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  61. Classical Estimation Methods for LDV Models Using Simulation. (1993). Ruud, Paul ; hajivassiliou, vassilis.
    In: Cowles Foundation Discussion Papers.
    RePEc:cwl:cwldpp:1051.

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  62. Debt concentration and secondary market prices. (1991). Ozler, Sule ; Fernandez, Raquel.
    In: Policy Research Working Paper Series.
    RePEc:wbk:wbrwps:570.

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  63. Evaluating the accuracy of sampling-based approaches to the calculation of posterior moments. (1991). Geweke, John.
    In: Staff Report.
    RePEc:fip:fedmsr:148.

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  64. Inter-industry and intra-industry specialization in manufactured goods. (1988). Bauwens, Luc ; Balassa, Bela.
    In: Review of World Economics (Weltwirtschaftliches Archiv).
    RePEc:spr:weltar:v:124:y:1988:i:1:p:1-13.

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  65. Two Stage and Related Estimators and Their Applications. (1985). pagan, adrian.
    In: Cowles Foundation Discussion Papers.
    RePEc:cwl:cwldpp:741.

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