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Reputation is a key asset for any company whose affairs are based on trust like banks. Despite its importance, the number of studies dealing with reputational risk in financial industry is still limited. We estimate the reputational impact of announced operational losses for a large sample of...
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This work aims to reconcile theory and practice, proposing a dynamic model of asset allocation that allows the creation, with the help of genetic algorithms, of reasonable portfolios for investors chasing a variety of objectives over multiple time horizons. Our results are interesting and...
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This research focuses on the advancement of the Compliance function within banks, investment and insurance companies and on the effect of applying Community regulations as called for by the MiFID Directive. Eighty four financial intermediaries: banks, investment companies and insurance companies...
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