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The choice between focus and diversification strategies in banking and its relationship to risk and return outcomes
Author(s) -
Mitchell Stan
Publication year - 2018
Language(s) - English
Resource type - Dissertations/theses
DOI - 10.22215/etd/2009-06242
Subject(s) - diversification (marketing strategy) , risk–return spectrum , business , regulatory focus theory , focus (optics) , banking industry , actuarial science , financial economics , economics , financial system , marketing , management , portfolio , physics , optics , task (project management)

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