HIGHLIGHTS
- What: This study provides a comprehensive assessment of the performance risk management practices and sectoral contributions of FIs in Bangladesh as of end-December 2023. Trend Analysis: o Examination of changes in key financial indicators over the study period, focusing on sources of funds, asset composition, liability-asset ratio, asset quality, profitability, capital adequacy, and liquidity. The study reveals that effective risk management practices, linked to the Basel III framework, are critical to maintaining financial stability.
- Who: shuvo kumar mallik from the Department of Economics, Southeast University, Dhaka, Bangladesh have published the paper: Financial Institutions . . .

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