Ruslan, Shamsudin (1999) Commercial Bank Portfolio Management : A Case Study Of Bank Bumiputera Malaysia (1991-1997). Masters thesis, Universiti Utara Malaysia.
RUSLAN_BIN_SHAMSUDIN_-_Commercial_Bank_Portfolio_Management_A_Case_Study_Of_Bank_Bumiputera_Malaysia_(1991-1997).pdf
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Abstract
This is a pioneering attempt to examine the asset-liability management (ALM) of Bank Bumiputera Malaysia Berhad as a specific case study over the period of
1991-1997. The study provides a broad framework for the analysis of ALM performance of the bank extracted through economic interpretation of the bank's balance sheet and annual reports. The study suggests that the asset quality of the Bank Bumiputera has been somewhat low in comparison to other major bank in Malaysia. Its Proportion of non-performing loans (NPL) is also on higher side. There is also an indication of mis-match between the growth of deposits and advances by the bank ever the years. Profitability, risk and liquidity implications involved in different item of liabilities and assets for a sound management. In reconciling the conflicting goals such as liquidity and profitability requires a better attention, caution, care, control, consideration and coordinated approach in the future ALM action of the bank management.
Item Type: | Thesis (Masters) |
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Supervisor : | UNSPECIFIED |
Item ID: | 712 |
Uncontrolled Keywords: | Banks And Banking, Asset-Liability Management (ALM), Case Study, Bank Bumiputera Malaysia Berhad |
Subjects: | H Social Sciences > HG Finance |
Divisions: | Faculty and School System > Sekolah Siswazah |
Date Deposited: | 07 Nov 2009 02:08 |
Last Modified: | 24 Jul 2013 12:08 |
Department: | Graduate School |
URI: | https://etd.uum.edu.my/id/eprint/712 |