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With specific reference to the work of Aebi, V., Sabato G. and, Schmid M., (2012). Risk management, corporate governance, and bank performance in the financial

With specific reference to the work of Aebi, V., Sabato G. and, Schmid M., (2012). Risk management, corporate governance, and bank performance in the financial crisis. Journal of Banking & Finance 36 (2012) 32133226;

Required:

i) State Corporate governance variables used in the study.

ii) In the research, it was stated: "Finally, we augment the set of 10 hand-collected corporate governance variables by nine additional governance variables from four commercial databases...." State the 9 augmented corporate governance variables used.

iii) Which variables served as control variables in the study?

iv) Provide and explain the resultant Table 5 Regressions of buy-and-hold returns and ROE on extended set of corporate and risk governance variables model.

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