Madura and Zarruk (1995) provide comparative evidence on the interest rate risk of banks in Britain, Canada. ... In contrast to the extensive literature on how the market risk of financial institutions has been affected by regulatory change, little ... The central focus of this paper is to test for the existence of a relationship between returns on the shares of Australian banks and finance companies, and changesanbsp;...
|Title||:||PACIFIC-VASIN FINANCE JOURNAL VOLUME 7, NO. 1 FEBRUARY 1999|