Impact Of Risk Management On Profitability Of Banks
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TABLE OF CONTENT
Title Page ﾿ i
CHAPTER ONE: INTRODUCTION
1.1 Background to the Study ﾿ 1
1.2 Statement of the Problem ﾿ 2
1.3 Objectives of the Study ﾿ 3
1.4 Research Questions ﾿ 3
1.5 Research hypothesis ﾿ 4
1.6 Significance of the Study ﾿ 4
1.7 Scope of the Study ﾿ 5
1.8 Limitation of the Study ﾿ 5
1.9 Definition of Terms ﾿ 5
CHAPTER TWO: REVIEW OF RELATED LITERTURE
2.1 Conceptual Framework ﾿ 7
2.1.1 The Concept of Credit ﾿ 7
2.1.2 Credit Evaluation ﾿ 8
2.1.2.1 Character ﾿ 8
2.1.2.2 Capacity ﾿ 9
2.1.2.3 Capital ﾿ 9
2.1.2.4 Condition ﾿ 9
2.1.2.5 Collateral ﾿ 9
2.1.3 The Concept of Risk ﾿ 10
2.1.4 Credit Risk ﾿ 11
2.1.5 Credit Risk Management ﾿ 12
2.1.6 Credit Risk Management Strategies ﾿ 14
2.1.6.1 Selection ﾿ 14
2.1.6.2 Limitation ﾿ 14
2.1.6.3 Diversification ﾿ 15
2.1.6.4 Credit Enhancement ﾿ 15
2.1.6.5 Compliance to Basel Accord ﾿ 15
2.1.7 Credit Risk Measurement ﾿ 15
2.1.7.1 Default Ratio (DR) ﾿ 16
2.1.7.2 Cost Per Loan Advance Ratio (CLA) ﾿ 16
2.1.8 Profitability ﾿ 16
2.1.9 Internal Determinants of Banks’ Profitability ﾿ 17
2.1.9.1 Loan Quality ﾿ 18
2.1.9.2 Income ﾿ 19
2.1.9.3 Deposits ﾿ 19
2.1.9.4 Capital Ratio ﾿ 20
2.1.9.5 Liquidity Ratio ﾿ 21
2.1.10 External Determinants of Profitability of Bank ﾿ 22
2.1.10.1 GDP ﾿ 22
2.1.10.2 Interest Rate ﾿ 23
2.1.10.3 Exchange Rate ﾿ 24
2.2 Theoretical Review ﾿ 24
2.2.1 Govermentality Theory ﾿ 24
2.2.2 Cultural Theory ﾿ 26
2.2.3 Risk Society ﾿ 27
2.3 Empirical Review ﾿ 28
CHAPTER THREE: RESEARCH METHODOLOGY
3.1 Research Design ﾿ 34
3.2 Area of the Study ﾿ 34
3.3 Nature and Sources of Data ﾿ 34
3.4 Method of Data Analysis ﾿ 35
3.5 Model Specification ﾿ 35
3.6 Technique for Analysis ﾿ 36
3.7 Description of Research Variables ﾿ 36
3.7.1 Dependent Variable ﾿ 36
3.7.2 Independent Variables ﾿ 37
CHAPTER FOUR: PRESENTATION OF DATA, ANALYSIS AND DISCUSSION
4.1 Presentation of Data ﾿ 38
4.2 Data Analysis and Discussion of Findings ﾿ 39
4.2.1 Descriptive Statistics ﾿ 39
4.2.2 Regression Analysis ﾿ 40
4.2.3 Test of Hypothesis ﾿ 41
CHAPTER FIVE: SUMMARY OF FINDINGS, CONCLUSION AND RECOMMENDATIONS
5.1 Summary of Findings ﾿ 43
5.2 Conclusion ﾿ 43
5.3 Recommendations ﾿ 43
REFERENCES ﾿ 45
APPENDIX ﾿ 48
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APA
MOUAU/BF/14/23563, J. I. Q. (2020). Impact Of Risk Management On Profitability Of Banks. Michael Okpara University of Agriculture. Retrieved June 8, 2026, from http://repository.mouau.edu.ng/works/impact-of-risk-management-on-profitability-of-banks
MLA
MOUAU/BF/14/23563, JOHNSON IHUOMA QUEENETH. "Impact Of Risk Management On Profitability Of Banks." Michael Okpara University of Agriculture, 9 Jun. 2020, http://repository.mouau.edu.ng/works/impact-of-risk-management-on-profitability-of-banks. Accessed June 8, 2026.
Chicago
MOUAU/BF/14/23563, JOHNSON IHUOMA QUEENETH. "Impact Of Risk Management On Profitability Of Banks." Michael Okpara University of Agriculture (2020). Accessed June 8, 2026. http://repository.mouau.edu.ng/works/impact-of-risk-management-on-profitability-of-banks