EconPapers    
Economics at your fingertips  
 

Profitability and Risk of the Belgian Financial Sector: a Stock Market Analysis and a Comparison with Accounting Data

Lieven Gheysens and Herwig Langohr

Chapter 5 in Competition and Regulation in Financial Markets, 1981, pp 97-116 from Palgrave Macmillan

Abstract: Abstract In this chapter the Belgian bank sector is analysed over the period 1970–8. Although most of the analysis is based on a sample of only seven individual banks,2 they constitute a major share of the total Belgian financial sector.3

Keywords: Interest Rate; Stock Market; Inflation Rate; Systematic Risk; Excess Return (search for similar items in EconPapers)
Date: 1981
References: Add references at CitEc
Citations: Track citations by RSS feed

There are no downloads for this item, see the EconPapers FAQ for hints about obtaining it.

Related works:
This item may be available elsewhere in EconPapers: Search for items with the same title.

Export reference: BibTeX RIS (EndNote, ProCite, RefMan) HTML/Text

Persistent link: https://EconPapers.repec.org/RePEc:pal:palchp:978-1-349-05585-2_5

Ordering information: This item can be ordered from
http://www.palgrave.com/9781349055852

DOI: 10.1007/978-1-349-05585-2_5

Access Statistics for this chapter

More chapters in Palgrave Macmillan Books from Palgrave Macmillan
Bibliographic data for series maintained by Sonal Shukla () and Springer Nature Abstracting and Indexing ().

 
Page updated 2022-08-15
Handle: RePEc:pal:palchp:978-1-349-05585-2_5