Theoretical analysis on Asset-Liability Management of liquidity risk: the case of Islamic banks

FA Malhou, A Maimoun - SHS Web of Conferences, 2021 - shs-conferences.org
The main objective of this research is to identify and review all the studies conducted to
investigate the relationship between liquidity risk and Asset-Liability Management in Islamic …

Совершенствование подходов к реализации сбалансированной политики формирования пассивов и обоснованной политики управления активами и …

ТГ Куцури - Инновации и инвестиции, 2020 - cyberleninka.ru
В статье рассмотрено содержание сбалансированной политики формирования
пассивов и политики управления активами и пассивами банков (ALM) в современных …

Asset Liability Management in Commercial Banks in India

K Thakker, T Chakraborty - Advances in Finance & Applied Economics, 2018 - Springer
Globalization and liberalization of the Indian economy has brought many changes in the
Indian financial markets. There is an increase in the level of competition in the financial …

[PDF][PDF] An Analysis of Maturity Patterns and Interest Rate Risk in Public and Private Banks in India: an Asset Liability Management Approach

S Kumari, S Singh - 2024 - researchgate.net
Asset liability management (ALM) was prioritized by the RBI for banks. In addition to
attempting to match assets and liabilities according to maturities and interest rate sensitivity …

Modeling hybrid indicators for stock index prediction

R Arjun, KR Suprabha - Intelligent Systems Design and Applications: 18th …, 2020 - Springer
The study aims to assess the major predictors of stock index closing using select set of
technical and fundamental indicators from market data. Here two of major service sector …