Bank management and portfolio behavior /
Material type:
TextPublication details: New Haven : Yale University Press, c1975.Description: xvi, 304 p. illISBN: - 0300017162 :
- 332.1 HES
- HG1616.I5 H47 1975
| Item type | Current library | Collection | Call number | Status | Date due | Barcode | |
|---|---|---|---|---|---|---|---|
Monograph & others
|
CBN HQ Library General Stacks | Non-fiction | 332.1 HES (Browse shelf(Opens below)) | Available | 31008100118328 |
Includes index.
Bibliography: p. 289-296.
The banking industry is the largest financial intermediary in the United States capital market. Given its prominence, surprisingly few quantitative studies of the portfolio behavior of individual banks and the industry at large have been reported in the economic literature. The purpose of this monograph is to provide a microeconometric analysis of portfolio behavior and earnings by commercial and mutual savings banks. The results are shown to be of value in constructing an aggregate model for the analysis of systems of commercial and mutual savings banks.
usc 25/05/2017
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