• Financial Performance of Private Commercial Banks in Bangladesh: with special emphasis on Dhaka Bank Ltd
    performed to test the statistical significance of the parameters at 5% level of significance. The sample of the study is trimmed applying a methodology to test the impact of Bank size, Credit Risk, Asset management and operational efficiency on the financial performance of the banks measured by three...
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  • Sales Management
    copies (‘Excel bond’) on some topics like Bond Mathematics, Portfolio Management, Evaluation of Mutual Fund performance etc will be given. 65 3.2.4 International Finance 100 Marks Course Content 1. Fundamental equilibrium relationships covered interest parity, purchasing power parity...
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  • Finance
    : a) Discretionary Clients who opt for discretionary support effectively hand over their finances to the bank to manage. Based on pre-determined criteria, the bank will make investment decisions (perhaps through its Asset Management division) on behalf of the client and assumes responsibility for...
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  • Finance in Mnc
    management - Cash management - Working capital finance : Trade credit, Bank finance and Commercial paper. UNIT – V LONG TERM SOURCES OF FINANCE: 12 Indian capital and stock market, New issues market Long term finance: Shares, debentures and term loans, lease, hire purchase, venture capital financing, TOTAL...
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  • Syllabus
    Finance and Management Accounting Sr. No. | Topic Name | No. Of Hrs | 01 | Financial Accounting II | 10 | | Bank Reconciliation Statement Meaning, Need, Importance and Preparation. | | 02 | Finalization of Accounts | 10 | | Trial Balance: meaning and a purpose, kind of errors...
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  • Risk
    understanding of the key risks that arise within the financial services industry and is particularly aimed at: 3 Risk teams 3 Compliance teams 3 Branch management 3 Corporate lawyers 3 Finance officers 3 Senior managers of all disciplines 3 Existing and aspiring non-executive directors...
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  • Introduction on Takeover:
    company's finances. An additional problem is that takeovers often require loans provided by banks in order to service the offer, but banks are often less willing to back a hostile bidder because of the relative lack of target information which is available to them. Reverse takeovers: A "reverse...
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  • Df Efsdf Rwgsfrgtertg
    Portfolio Management FIN135 Capital Expenditure: Planning and Control FIN140 Commercial Banking Management FIN145 Retail Banking Management FIN150 Indirect Taxation FIN155 Personal Taxation FIN160 Mergers and Acquisitions FIN165 International Finance FIN170 Working Capital Management and...
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  • Recent Trends in Capital Market of Bangladesh Critical Evaluation of Regulation
    (Chairperson) Dr. Winai Wongsurawat Dr. Yuosre Badir Nationality: Previous Degree: Bangladeshi Master of Business Administration University of Dhaka Dhaka, Bangladesh Bangladesh Bank (Central Bank of Bangladesh) Scholarship Donor: Asian Institute of Technology School of Management Thailand...
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  • Global Strategy
    Corporate Finance Global Edition by Jonathan Berk Case solutions Fundamentals of Cost Accounting 3e William Lanen Shannon Anderson Michael Maher SM Fundamentals of Cost Accounting 3e William Lanen Shannon Anderson Michael Maher TB Fundamentals of Database Management 1e Systems Gillenson IM...
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  • Mms Syllabas
    copies (‘Excel bond’) on some topics like Bond Mathematics, Portfolio Management, Evaluation of Mutual Fund performance etc will be given. 65 3.2.4 International Finance 100 Marks Course Content 1. Fundamental equilibrium relationships covered interest parity, purchasing power parity...
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  • Bdjobs Training
    Page |1 ABOUT US Bdjobs Training has been the biggest professional training house in the country. The tracks of its training programs include Marketing/Sales, IT , Commercial, Finance, Quality & Process, Industrial Engineering, RMG, Banking, HR, Development/NGO, Management Development and so...
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  • Liquidity Risk Management Pwc
    the assumptions that underpin their behavioural modelling, their mismatch guidelines and their expectations of parental support. Since they are a vital part of the liquidity risk management toolkit, banks should pay greater attention to their stress tests (see Figure 2). Regulators will want to see...
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  • An Emperical Analysis of the Impact of Financial Sector on Economic Growth in Nigeria
    financial institutions in order to build up confidence and stability of the system. The components of these bodies are the Central Bank of Nigeria (CBN), Nigeria Deposit Insurance Corporation (NDIC), the Securities and Exchange Commission (SEC), the Federal Ministry of Finance (FMF), the National...
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  • Develop Road Safety Culture
    reports on bank finance; Dimensions of working capital Management. Reference Books: 1. 1.Arulanandam & K.S. Raman, Advanced Accounting. 2. Gupta & Radhasamy, Advanced Accounting. 3. Shukla & T.S. Grewal, Advanced Accounting. 4. Maheswari, Management Accounting & Financial Accounting...
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  • Pupui
    Motivating Employees for Job Performance Leadership Managing Communications The Control Functions Control Techniques Productivity and Operations Management Management Information Systems Fundamentals of Finance Financial System Valuation of Securities Financial Statement Analysis Financial...
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  • Size of Governmnet Expenditure
    management. The study will promote corporate control and treasury management in the Industry as a whole and equity performance evaluation and analysis of banks iii) The Government The government authorities (federal Ministry of Finance and economic Planning in charge of formulation of policies and...
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  • Financial Resources
    term or long term? * Short term sources of finance: * Bank overdraft * Trade Credit * Leasing * Bank loans * Credit cards * Long term sources of finance: * Bank loans * Share capital * Debentures * Asset sales * Venture...
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  • 123123123123
    Journal of Advanced Studies in Finance GLOBALIZATION, FINANCIAL CRISIS AND CONTAGION: TIME DYNAMIC EVIDENCE FROM FINANCIAL MARKETS OF DEVELOPING COUNTRIES Simplice A. ASONGU HEC - Management School, University of Liège, Belgium asongusimplice@yahoo.com Abstract: Financial integration...
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  • Capital Structure
    an empirical study as it involves the analysis of secondary data in order to test hypotheses or to validate models;  Basic (pure/fundamental): The purpose of basic research outlined by Saunders, Lewis and Thornhill (2009:8), is to increase the knowledge of business process, management and research...
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