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This book is the culmination of this long-term research since 2011 to provide readers a complete novel analysis on business models in banking, which are essential to understand bank business in Europe, US, Canada pre and post crisis. The data collected is novel and will allow researchers to integrate this analysis in their research. Moreover the analytical framework designed and tested by Professor Ayadi can offer a unique framework to assess systemic risk in banking using the business model analysis. This book will also be a guide to bank business models for students in masters on banking and finance and researchers embarking in a PHD program.
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