//-->
Bewertung von Kreditinstituten nach dem Shareholder-value-Ansatz : unter besonderer Berücksichtigung des Zinsänderungsrisikos
Kümmel, Axel T., (1994)
Interest rate risk and equity values of hedged and unhedged financial intermediaries
Scott, William L., (1986)
Interest rate, size and book-to-market effects in Australian financial firms
Akhtaruzzaman, Md., (2014)
Bank stock valuation : does maturity gap matter?
Tarhan, Vefa, (1987)
Policy and volatility of asset returns
Tarhan, Vefa, (1993)
Does the federal reserve affect asset prices?
Tarhan, Vefa, (1995)