Financial performance of listed banks

Xem 1-9 trên 9 kết quả Financial performance of listed banks
  • The purpose of this study was to examine the effect of credit risk management on the performance of selected listed commercial banks in Ghana. The study used secondary data collected from seven (7) banks listed on the Ghana Stock Exchange for a period of ten (10) years covering 2007-2016 with a total of seventy (70) observations.

    pdf10p tociitocii 24-04-2020 10 0   Download

  • The nexus between Corporate Social Responsibility Disclosure (CSRD) and financial performance is an ongoing debate and a puzzle encountered by business organizations. This study is an attempt to address the question of whether CSRD is linked to financial performance of companies quoted on the Banks, Finance and Insurance sector in Sri Lanka.

    pdf18p vimadrid2711 18-12-2019 20 0   Download

  • This study considers financial performances of commercial banks of Turkey in the period of 2003 and 2010. The financial performance of banks is measured using an indexing model developed in this study. The model considers fundamental performance characteristics of banks and chooses related explanatory factors determining these characteristics. The study covers 13 commercial banks of Turkey listed in Istanbul Stock Exchange.

    pdf16p nguyenminhlong19 21-04-2020 2 0   Download

  • The thesis assesses the impact of 3 decisions in financial management of enterprises listed on the stock exchange in Vietnam in an overall and comprehensive manner. Evaluate the law of impact, give recommendations to business managers to improve corporate financial performance.

    pdf13p mmlemmlem_124 22-12-2020 4 0   Download

  • The authors wanted to find out how recent financial crisis influenced performance of Croatian banks measured with ROA, ROE, NIM and Tobin's Q. Having this aim in mind, we have used many bank-specific, industry-specific or structural variables and macroeconomic variables. The analysis refers to 2007-2015 period. The research is conducted using static panel model on a balanced sample of Croatian banks listed on Zagreb Stock Exchange. The results of the analysis show that crisis dummy variable significantly influences performance but its direction is not uniform.

    pdf25p trinhthamhodang2 21-01-2020 9 0   Download

  • This paper empirically assesses the relationship between Deposit Insurance Funds (DIF) and the quality of risk assets of listed Deposit Money Banks (DMBs) in Nigeria. The entire fifteen listed DMBs in the country as of 31st December, 2017 were focused on and the secondary data were subsequently sourced from the yearly financials of the Nigeria Deposit Insurance Corporation (NDIC) for a 29-year period covering from 1989 to 2017.

    pdf12p tozontozon 25-04-2020 3 0   Download

  • This study provides an in depth comparative analysis among Greek Commercial Bank institutions listed in Athens Stock Exchange Market, during time period from 2006 to 2012. The analysis is based on CAMEL methodology. The period 2007 to 2009 is characterized by high profitability, liquidity and high capital adequacy. However, the eruption of the economic crisis in Greece during 2009 and its ominous impacts is revealed on the bank financial statements and reports.

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  • This study provide an empirical study investigating the relation between executive compensation, ownership structure, and financial firm performance for Chinese publically listed firms. The empirical results reveal that executive compensation in China financial firms has increased remarkably after its privatization reform. Both board characteristics and ownership structure have a strong influence on executive incentive compensations after controlling for standard economic factors.

    pdf17p trinhthamhodang2 21-01-2020 9 0   Download

  • This study tests the efficiency and profitability of banks that belongs to two different sectors: a) Islamic Banks (IBs) and b) Traditional Banks (TBs). The study concentrates on the pre and post 2008 financial crisis with an aim to test if there are any significant differences in performance between the two sectors. The study applies the MANOVA techniques to analyze the financial secondary data for only publicly traded banks in the same region.

    pdf27p nguyenminhlong19 21-04-2020 2 0   Download



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