Risk Management for Banks, Europe Debt Crisis

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Nov. 18 (Bloomberg) -- Paul Miller, managing director and banking analyst with FBR Capital Markets Corp., and Joshua Rosner, an analyst at Graham Fisher & Co., talk about Europe's sovereign debt crisis and the risks posed to banks. Rosner and Miller also discuss lenders' risk management. They speak with Tom Keene on Bloomberg Television's "Surveillance Midday." (Source: Bloomberg)

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