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Exploring contemporary research issues in the area of efficiency and productivity measurement in the financial sector, this text evaluates the most suitable approaches to selecting inputs and outputs, as well as the most efficient modeling techniques. An international team of experts have contributed to this comprehensive primer for anyone seeking an authoritative introduction to efficiency and productivity analysis with applications in both the finance and insurance industry. Corporate governance, stock price returns, deregulation, the impact of environment, and the efficiency in market-based versus bank-based economies are all explored.
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