How did two pieces of regulatory legislation-the DIDMCA in 1980 and the DIA in 1982-change the operating

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How did two pieces of regulatory legislation-the DIDMCA in 1980 and the DIA in 1982-change the operating profitability of savings institutions in the early 1980s? What impact did these pieces of legislation ultimately have on the risk posture of the savings institutions industry? How did the FSLIC react to this change in operating performance and risk?

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