Risk Management and Stock Exchange by Shahid Mahmood, Paperback, 9783639760927 | Buy online at The Nile
Departments
 Free Returns*

Risk Management and Stock Exchange

An Investor's Perspective

Author: Shahid Mahmood and Dr Ahsan Riaz  

New
$98.49
Or pay later with
Check delivery options
Paperback

PRODUCT INFORMATION

Description

The book Credit Risk Management and Bank Performance examines the crucial role of credit risk management in ensuring the stability and profitability of commercial banks. Focusing on banks listed on the Pakistan Stock Exchange, it analyzes a decade (2006-2015) of empirical data using econometric models. The study investigates the impact of key credit risk variables - non-performing loans (NPLs), capital adequacy ratio (CAR), and loan advances (LA) - on bank performance indicators like return on assets (ROA), return on equity (ROE), and net interest margin (NIM). The findings reveal that NPLs negatively affect bank performance, while CAR enhances profitability. The book underscores the importance of robust risk management frameworks, recommending strict credit assessment policies and strategic risk mitigation techniques to improve financial stability. Aimed at banking professionals, policymakers, and researchers, it provides valuable insights into optimizing credit risk management practices for sustainable bank growth in evolving financial landscapes.

Read more

Product Details

Publisher
Scholars' Press
Published
24th February 2025
Pages
96
ISBN
9783639760927

Returns

This item is eligible for free returns within 30 days of delivery. See our returns policy for further details.

New
$98.49
Or pay later with
Check delivery options