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Cross-ownership and portfolio choice

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Publication:1995333
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DOI10.1016/J.JET.2021.105194zbMath1458.91194OpenAlexW3120030790MaRDI QIDQ1995333

Christian Ghiglino, Andrea Galeotti

Publication date: 23 February 2021

Published in: Journal of Economic Theory (Search for Journal in Brave)

Full work available at URL: https://doi.org/10.1016/j.jet.2021.105194


zbMATH Keywords

diversificationrisk takingconcentrationfinancial networksbow-tieseparation between ownership and control


Mathematics Subject Classification ID

Portfolio theory (91G10) Financial networks (including contagion, systemic risk, regulation) (91G45)





Cites Work

  • Control and voting power in corporate networks: Concepts and computational aspects
  • Systemic Risk in Financial Systems
  • Contagion in financial networks
  • On the Application of Portfolio Theory to Depository Financial Intermediaries




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