a comparative analysis of bank performance in romania in the period before the global financial crisis and post - crisis
Clicks: 165
ID: 215466
2016
Article Quality & Performance Metrics
Overall Quality
Improving Quality
0.0
/100
Combines engagement data with AI-assessed academic quality
Reader Engagement
Steady Performance
30.0
/100
161 views
18 readers
Trending
AI Quality Assessment
Not analyzed
Abstract
This paper makes an analysis of bank performance, in terms of Return on Asset and Return on Equity indicators, the analysis that we believe is very useful to investors, in order to make decisions that lead to expected results. For this purpose a sample consists of 18 banks operating in the banking market in Romania is evaluated after their performance and it was achieved a ranking (top 5 top 5 ROA and top 5
ROE) of the best performing banks in the country during international financial crisis years and post-crisis period (2007-
2013). The conclusions incite reflection on all those
interested in issues of community banking.
Abstract Quality Issue:
This abstract appears to be incomplete or contains metadata (101 words).
Try re-searching for a better abstract.
| Reference Key |
popescu2016finane:a
Use this key to autocite in the manuscript while using
SciMatic Manuscript Manager or Thesis Manager
|
|---|---|
| Authors | ;Jenica Popescu;Nela Loredana Meiță;Bogdan Popa |
| Journal | sosyal ekonomik araştırmalar dergisi |
| Year | 2016 |
| DOI |
DOI not found
|
| URL | |
| Keywords |
Citations
No citations found. To add a citation, contact the admin at info@scimatic.org
Comments
No comments yet. Be the first to comment on this article.