Econometric Analysis of Bank Portfolio Behavior: An Empirical Study of the Ethiopian Commercial Banking Sector With Reference to Asset Liability Management Buy on Amazon
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Econometric Analysis of Bank Portfolio Behavior: An Empirical Study of the Ethiopian Commercial Banking Sector With Reference to Asset Liability Management

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Book Details
Author(s) Yitbarek Takele
ISBN / ASIN 3844396977
ISBN-13 9783844396973
Availability Usually ships in 24 hours
Marketplace United States 🇺🇸
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Description
In this monograph econometric analysis of the portfolio behavior of the Ethiopian Commercial Banking Sector has been done. More particularly, the portfolio behavior of Defensive Assets, Treasury Bills, Loans, Long-term Securities, Deposits & Bank Capital has been thoroughly studied. It is strongly believed the study contributed a lot to the existing stock of knowledge related to the portfolio behavior of banks in developing countries. While adopting a critical and perceptive attitude through a good literature survey and empirical work, significant attempt has been made to show the different possible relationships of the investigation to the wider context of knowledge in which it belongs. The empirical findings of the thesis are believed to be useful to a wider audience covering from academics to policy makers.
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