Comparison of Financial Performance of Commercial Banks: A Case Study in the Context of India (2009-2013)
Dr. Ansarul Haque
Journal of Finance and Bank Management, 2(2), pp. 01-14
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Influence of Risk Perception of Investors on Investment Decisions: An Empirical Analysis
Dr. Sindhu K. P, Dr. S. Rajitha Kumar
Journal of Finance and Bank Management, 2(2), pp. 15-25
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Effect of Loan Diversification on Risk and Returns: An Empirical Study of Central Cooperative Banks in Punjab
Dr. Ravi Inder Singh
Journal of Finance and Bank Management, 2(2), pp. 27-41
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Customer Equity Evaluation: A Study With Reference to Jammu and Kashmir Bank of India
Hardeep Chahal, Renu Bala
Journal of Finance and Bank Management, 2(2), pp. 43-69
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Intra-Industry Debt and Tacit Collusion
Constantin Colonescu
Journal of Finance and Bank Management, 2(2), pp. 71-85
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The Risk Level of Viet Nam Banking Industry Under Impacts of a Three Variable Model During and After The Global Crisis
Dinh Tran Ngoc Huy
Journal of Finance and Bank Management, 2(2), pp. 87-103
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Myth vs. Fact; Influence of Financial Leverage on Shareholder’s Return (An Empirical Study of SugarSector of Pakistanfrom Year 2005-2010)
Mr. Ahmed Muneeb Mehta
Journal of Finance and Bank Management, 2(2), pp. 105-114
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Macroeconomic Determinants of Interest rate Spread in Ghana: Evidence from ARDL Modelling Approach
Ibrahim M. Sheriff, Gilbert K. Amoako
Journal of Finance and Bank Management, 2(2), pp. 115-132
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Should Eximbanks Finance Firms with Direct Export Credits? An Empirical Study on the Credit Risk of Türk Eximbank
Nedim Sözen, Mehmet Baha Karan, Göknur Büyükkara
Journal of Finance and Bank Management, 2(2), pp. 133-163
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Crm in Banking Sector – A Review
Dr. B. Ravi Kumar
Journal of Finance and Bank Management, 2(2), pp. 165-171
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Capital Adequacy, Liquidity, and Risk: Is Islamic Banking Too Expensive?
Camille Paldi
Journal of Finance and Bank Management, 2(2), pp. 173-177
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Depositor Discipline and Bank Risk-Taking Behavior: Evidence from the South-East Asian Financial Crises
Mohammed Ershad Hussain, M Kabir Hassan, Mahfuzul Haque
Journal of Finance and Bank Management, 2(2), pp. 178-204
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