Risk, Concentration and Market Power in the Banking Industry: Evidence from the Colombian System (1997-2006)

dc.contributor.authorJorge Tovar
dc.contributor.authorChristian Jaramillo
dc.contributor.authorCarlos Eduardo Hernandez
dc.coverage.spatialBolivia
dc.date.accessioned2026-03-22T16:38:22Z
dc.date.available2026-03-22T16:38:22Z
dc.date.issued2007
dc.descriptionCitaciones: 4
dc.identifier.doi10.2139/ssrn.1407759
dc.identifier.urihttps://doi.org/10.2139/ssrn.1407759
dc.identifier.urihttps://andeanlibrary.org/handle/123456789/59427
dc.language.isoen
dc.publisherRELX Group (Netherlands)
dc.relation.ispartofSSRN Electronic Journal
dc.sourceUniversidad de Los Andes
dc.subjectIntermediation
dc.subjectCollusion
dc.subjectMonetary economics
dc.subjectInterest rate
dc.subjectMarket concentration
dc.subjectBusiness
dc.subjectSystemic risk
dc.subjectMarket power
dc.subjectBalance sheet
dc.subjectBanking industry
dc.titleRisk, Concentration and Market Power in the Banking Industry: Evidence from the Colombian System (1997-2006)
dc.typearticle

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