Andreas Kamp

University of Muenster - Finance Center

Universitatsstr. 14-16

Muenster, 48143

Germany

SCHOLARLY PAPERS

2

DOWNLOADS

727

CITATIONS

5

Scholarly Papers (2)

Diversification and the Banks' Risk-Return-Characteristics - Evidence from Loan Portfolios of German Banks

EFA 2006 Zurich Meetings Paper
Number of pages: 31 Posted: 06 Jun 2006
University of Muenster - Finance Center, University of Münster - Finance Center Münster, Deutsche Bundesbank and University of Muenster - Faculty of Economics
Downloads 630 (40,241)
Citation 10

Abstract:

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bank lending, loan portfolio, portfolio theory, diversification, risk return

Diversification and the Banks' Risk-Return-Characteristics: Evidence from Loan Portfolios of German Banks

Bundesbank Series 2 Discussion Paper No. 2007,05
Number of pages: 44 Posted: 08 Jun 2016
University of Muenster - Faculty of Economics, University of Muenster - Finance Center, Deutsche Bundesbank and University of Münster - Finance Center Münster
Downloads 86 (292,731)
Citation 1

Abstract:

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bank lending, loan portfolio, portfolio theory, diversification, riskreturn analysis

2.

Do Banks Diversify Loan Portfolios? A Tentative Answer Based on Individual Bank Loan Portfolios

Bundesbank Series 2 Discussion Paper No. 2005,03
Number of pages: 52 Posted: 08 Jun 2016
Andreas Kamp, Andreas Pfingsten and Daniel Porath
University of Muenster - Finance Center, University of Münster - Finance Center Münster and University of Applied Sciences Mainz
Downloads 11 (572,203)

Abstract:

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bank lending, loan portfolio, portfolio theory, diversification, concentration measures, distance measures, focus