The effects of diversification on banks' expected returns
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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oai:RI-BanRep:20.500.12134-55412019-04-16T16:16:39Z The effects of diversification on banks' expected returns Estrada, Dairo Ayiber González-Arbelaéz, Angela Gutiérrez-Rueda, Javier G30 - Corporate Finance and Governance: General G00 - Financial Economics: General G21 - Banks; Depository Institutions; Micro Finance Institutions; Mortgages Diversification Risk Colombian banking system Sistema bancario -- Colombia Finanzas corporativas -- Colombia Activos bancarios -- Colombia Portafolio de inversiones -- Colombia G00 - Economía financiera: Generalidades G21 - Bancos; Instituciones de depósito; Instituciones Microfinancieras; Hipotecas G30 - Gobierno y financiación de la empresa: Generalidades 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 2008-08-10 2008-08-10 Working Paper Documentos de trabajo Published Version http://repositorio.banrep.gov.co/handle/20.500.12134/5541 http://hdl.handle.net/20.500.12134/5541 spa Documentos de Trabajo Borradores de Economía Borradores de Economía; No. 524 https://ideas.repec.org/p/bdr/borrec/524.html Open Access https://creativecommons.org/licenses/by-nc-sa/4.0/ Acceso abierto Atribucion-NoComercial-CompartirIgual CC BY-NC-SA 4.0 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. PDF application/pdf image/jpeg image/jpeg image/jpeg image/jpeg image/jpeg image/jpeg image/jpeg image/jpeg image/jpeg image/jpeg image/jpeg image/jpeg image/jpeg Bogotá Banco de la República |
institution |
Repositorio Institucional del Banco de la República de Colombia |
collection |
DSpace |
language |
Español (Spanish) |
topic |
G30 - Corporate Finance and Governance: General G00 - Financial Economics: General G21 - Banks; Depository Institutions; Micro Finance Institutions; Mortgages Diversification Risk Colombian banking system Sistema bancario -- Colombia Finanzas corporativas -- Colombia Activos bancarios -- Colombia Portafolio de inversiones -- Colombia G00 - Economía financiera: Generalidades G21 - Bancos; Instituciones de depósito; Instituciones Microfinancieras; Hipotecas G30 - Gobierno y financiación de la empresa: Generalidades |
spellingShingle |
G30 - Corporate Finance and Governance: General G00 - Financial Economics: General G21 - Banks; Depository Institutions; Micro Finance Institutions; Mortgages Diversification Risk Colombian banking system Sistema bancario -- Colombia Finanzas corporativas -- Colombia Activos bancarios -- Colombia Portafolio de inversiones -- Colombia G00 - Economía financiera: Generalidades G21 - Bancos; Instituciones de depósito; Instituciones Microfinancieras; Hipotecas G30 - Gobierno y financiación de la empresa: Generalidades Estrada, Dairo Ayiber González-Arbelaéz, Angela Gutiérrez-Rueda, Javier The effects of diversification on banks' expected returns |
description |
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 |
format |
Documento de trabajo (Working Paper) |
author |
Estrada, Dairo Ayiber González-Arbelaéz, Angela Gutiérrez-Rueda, Javier |
author_facet |
Estrada, Dairo Ayiber González-Arbelaéz, Angela Gutiérrez-Rueda, Javier |
author_sort |
Estrada, Dairo Ayiber |
title |
The effects of diversification on banks' expected returns |
title_short |
The effects of diversification on banks' expected returns |
title_full |
The effects of diversification on banks' expected returns |
title_fullStr |
The effects of diversification on banks' expected returns |
title_full_unstemmed |
The effects of diversification on banks' expected returns |
title_sort |
effects of diversification on banks' expected returns |
publisher |
Banco de la República |
publishDate |
2008 |
url |
http://repositorio.banrep.gov.co/handle/20.500.12134/5541 |
_version_ |
1637301863646756864 |
score |
12,131701 |