The role of commercial banks in the development of economy mohsin hassan alvi


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Synopsis

Conceptual Framework:

Banks’ Return on Assets

Balance of Trade

Gross Domestic Product




Self Deployed Model.
Research Models Developed:
For the analysis, the independent variable is Banks’ return on assets while the dependent variables are gross domestic product and balance of trade.
Model 1: GDP = α1 + β1 (Banks’ Return on Assets) + ET1
Model 2: Balance of Trade = α2 + β2 (Banks’ Return on Assets) + ET2
Here,
α is constant and intercept.
β is slope.
ET is error term.
Analysis:
The data will be put in the Statistical Package for the Social Sciences (SPSS) in order to analysis and communicate in a meaningful form. The Multiple linear regression test will be applied on the data in order to measure the outcomes and investigate the impact of banks’ return on assets on GDP and Balance of Trade.
Research Project Timeline:

Milestones

Months

1

2

3

4

Topic Approval





Synopsis Write Up





Ethical Approval







Introduction and Literature Review Write Up





Data Collection





Data Analysis





Final Report Write Up





Dissemination







Ethical Consideration:
Composed data will be kept confidential and will be securely stored. Data held on computer will conform to the Data Protection Act principles. The data will be the property of existing research study until the research will be completed and data can be freely delivered for further exploration after the supervisor consent. The data cannot be used to sale and purchase for the business purpose. The ethical approval for the research project will be obtained from the ethical board committee of the research Department.


Reference
[1] Aggarwal, P 2013, ‘Relationship between Environmental Responsibility and Financial Performance of Firm: A Literature Review’, IOSR Journal of Business And Management, vol. 13, no. 1, pp. 13-22.


[2] Al-Nimer, M & Sleihat, N 2015, ‘The Effect of Profitability Ratios on Market Capitalization in Jordanian Insurance Companies Listed in Amman Stock Exchange’, Journal of Economics and Sustainable Development, vol. 6, no. 6.


[3] Backus, D, Kehoe, PJ & Kydland 1992, ‘Dynamics of the Trade Balance and the Terms of Trade: The S-Curve’, American Economic Review, pp. 84-103


http://www.nber.org/papers/w4242

[4] Burger, A, Damijan, J, Kostevc, R & Rojec, M 2014, ‘Determinants of Firm Performance and Growth During Economic Recession: The Case of Central and Eastern European Countries’, SSRN Electronic Journal.


[5] De-Bandt, O & Davis, E 2000, ‘Competition, contestability and market structure in European banking sectors on the eve of EMU’, Journal Of Banking & Finance, vol. 24, no. 6, pp. 1045-1066.




[6] Degryse, H & Ongena, S 2001, ‘Bank Relationships and Firm Profitability’, Financial Management, Financial Management Association, vol. 30, no. 1, Spring.

[7] Ferreira, C 2012, ‘Bank Efficiency, Market Concentration and Economic Growth in the European Union’. SSRN Electronic Journal.





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