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analyzed using the standard supervisory framework, which assesses capital adequacy, asset quality, management, earnings, and … liquidity (CAMEL). [WP 146]. …
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This paper examines the management of the financial statement of UBA using goal programming (GP) technique. The data … in the bank: goal (1) (asset accumulation); goal 2 (liability reduction); goal 3 (shareholders¡¯ wealth); goal 4 (earning …); goal 5 (profitability); and goal 6 (optimum management of the items in the financial statement). Applying POM-QM Version 3 …
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provocations . This new approach confirms the fact that the banking management generally and the risk management especially …
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industry is capital. Even though reasonably well capitalized today, banks will be facing the challenge of growing their … business due to capital constraints. [Address at Mint’s Clarity Through Debate, Mumbai]. URL: [http …
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further empirical studies in the area of company finance management, especially capital management. …Is there an optimal capital structure in a company? There is no definite answer to that question. There are many … theoretical conceptions in which authors try to indicate a way to determine an optimal capital structure. Most of them are based …
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proper credit risk management is to identify, measure, control and monitor. A bank, which has risk management systems …
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