Literature Review Bank Performance

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Crafting a literature review on bank performance can be an arduous task, demanding meticulous

research, critical analysis, and synthesis of a vast array of scholarly articles, books, and other
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Navigating through the extensive literature on bank performance can be overwhelming for many
researchers, particularly those who are new to the field or undertaking a comprehensive review for
the first time. The sheer volume of information available, coupled with the need to critically evaluate
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Second, studies in this field contain major gaps that can possibly be resolved through an
interdisciplinary approach ( Green 2000 ). According to Myers, “Ratio analysis of financial
statements is a. All you need is to choose a review and indicate your topic when placing an order on
our website. Examples of these studies are those that mentioned system dynamics either in their
references or in the author’s bibliographic note. From our systematic review, we identified three
ORM studies using SD in capturing, examining, and validating the dynamic interactions between
variables in the systems under their studies. Latent errors were defined as activities, events, or
conditions that deviate from organizational expectations, and may cause adverse consequences. Here
are the tips. View Video Sample MBA Student Paper: Company Analysis Sample MBA Student
Paper: Company Analysis Target, Execute and Review is Countrywide’s six-step. Different
researchers have been conducted to explore the impact of capital structure on bank performance. The
effect of a liberal credit policy may result in tying up substantial funds of a firm in the. In the
researcher’s own definition, performance means an action by an employee that has produced an
output relevant to an employee or organisation’s goals. 2. 2 Defining Management Management
means to give direction, lead, control, govern, rule over, whilst a manager is an official who manages
or controls- a person who has in his hands the general leadership of an enterprise or of a division
(Bryman, 1984:78 as cited in Brynard, et al 1997). To create valuable contributions, scholars have
suggested readers follow their guidelines, select and use approaches suitable for research purposes
and questions, combine a literature review with meta-analysis, or even apply computer techniques in
a literature review ( Galvan and Galvan 2017; Boell and Cecez-Kecmanovic 2015 ). Average
inventory and cost of goods sold are the two elements of this ratio. Average. As the international
standards became prevalent, banks had to unlearn their traditional It will synthesize and evaluate the
data, and explain the literature of the topic to establish literature to cite statistics how social support
These goods mainly include the regulations that are used everyday by a review. Research questions
and method 17 operating and financial review, risk reporting and the corporate governance
statement. In. Fetch Doc Corporate Social Responsibility And Financial Performance. How have
leading companies managed the transformation of HR functions. In odisha besides the above
companies, some are Mideast, Sri Gayatri, Sunraj, SLB, Specimen, Swastik India, Sai Kishore, Vista
Credit, Evos, Rajiv Gandhi Memorial Multistate, Green India, Flourish India, Rose Vally, Utkal
Multistate and Jansahyog Sahkari Credit Society, Microfinance. Expectation of easy money return in
short time, fake success stories by the agents of such companies motivate the illiterate rural people to
invest in the chit funds. A Proposed Methodology for Literature Review on Operational Risk
Management in Banks. Risks. 2022; 10(5):108. Upload Read for free FAQ and support Language
(EN) Sign in Skip carousel Carousel Previous Carousel Next What is Scribd. A secondary purpose is
to provide honest and accurate formal evaluations to support rewards for performance practices.
Inventory turnover ratio measures the velocity of conversion of stock into sales. Usually a. Likewise,
studies that mentioned bank or financial institution in their references or in the author’s bibliographic
note were excluded. Corporate Social Responsibility and Financial Performance: An Empirical
Analysis on Greek Companies Theofanis Karagiorgos1 According to the literature review of Wood
(2010), CSP has been measured (or corporate social performance) and financial performance use a.
According to Cornell University (2010), the main purpose of performance management process is to
develop people and improve performance by clarifying goals and coaching regularly. The
unregistered chit funds invest the public money in many grey fields. The objective of this
methodology is to reduce bias from keyword selection, to provide assurance on comprehensiveness
and transparency of the review process, and to open up opportunities for interdisciplinary studies.
This suggests a need to compare organizations that have different levels or numbers of balanced
scorecard attributes to see if there are any differences. A low inventory turnover implies over-
investment in inventories, dull business, poor quality. Section 5 is the conclusion of the paper on
contributions and limitations. 2. A Proposed Literature Review Methodology The proposed
methodology is based on three main steps. To study this issue, the researcher conducted an empirical
investigation into the origin and types of innovations in financial services offered via mobile phones,
a global, multi-billion dollar industry where emerging economies play an important role.
Journal of Functional Morphology and Kinesiology (JFMK). The trade debtors for the purpose of
this ratio include the. The rural investors blindly put their hard earned money without taking a
second thought. According to Primitive civilizations, a book written by. For Later 75% 75% found
this document useful, Mark this document as useful 25% 25% found this document not useful,
Mark this document as not useful Embed Share Print Download now Jump to Page You are on page
1 of 3 Search inside document. It may also be mentioned here that there are no rule of thumb or
standard for interpreting. In order to answer these questions and more, this chapter reviews literature
on performance management and describes the factors that influence performance measures. Driven
from strategies and provide a linkage between unit actions and strategic plans; 2. How far the retail
banking is able to lead growth of the banking industry in future would depend upon the capacity
building of the banks to meet the challenges and make use of the opportunities profitably.
Assumption that complaints will not be investigated before the trigger event is not qualified for a
continuous state change of SD ( Brailsford and Hilton 2001 ). In case of any online fraud,
appropriate state authorities will be contacted immediately. Note that from the first issue of 2016,
this journal uses article numbers instead of page numbers. Tone at the top: the effects of gender
board diversity on gender wage inequal. One of its major objectives is to increase flow of resources
for housing through the integration of housing financial institutions with the domestic market. The
last step of our proposed methodology is to conduct a systematic review to collect existing evidence,
analyze, and synthesize research findings. On close examination, however, these definitions appear to
centre around the notion that strategy refers to a broad statement of. For Later 75% (12) 75% found
this document useful (12 votes) 30K views 3 pages Literature Review For Financial Performance
Mba Project Uploaded by Ijas Aslam AI-enhanced title it will ease the persons for doin proj Full
description Save Save literature review for financial performance mba pr. Liquidity ratios are
probably the most commonly used of all the business ratios. Therefore, we included only full text
and peer review journal articles while we excluded book, book chapter, conference paper, conference
review, and non-English articles from the review. We will inform you about that a month before the
withdrawal of your Points. Distinct individual complaints are not qualified for homogeneous
condition of SD. A too high inventory means higher carrying costs and higher risk of stocks
becoming. The selected keywords were: “operational risk” “bank or financial institution” and
“literature review.” From the search, we identified seven articles from Scopus. First, our proposed
methodology helps reduce bias in the selection of keywords. Keywords provided by experts can also
cause bias in identifying literature ( Durach et al. 2015 ). Furthermore, individually self-selected
keywords rarely give the same results ( Agrawal et al. 2010 ). How can researchers scientifically
develop relevant search terms that are not derived from their previous experience or find those that
are outside their own disciplines. We then used SD as our relevant search term in the next step of the
review. Likewise, studies that mentioned bank or financial institution in their references or in the
author’s bibliographic note were excluded. Since formulating a definite loan policy for the bank calls
for expertise, knowledge and experience in various aspects of a bank credit, the Board Of Directors
enlist the services and cooperation of the banks credit officers, who are well-versed in the techniques
of lending and are familiar with external and internal forces that have their bearing on the lending
activities of the bank. By applying the inclusion and exclusion criteria, only three relevant articles
were left from 56 articles. Basic values imply four types of work values-intrinsic, extrinsic, social,
and Prestige.
The average collection period ratio represents the average number of days for which a firm. Journal
of Manufacturing and Materials Processing (JMMP). They start to serve the people as a pool of
saving with a commitment to help in their need time but slowly they start gambling with the
investors by utilizing the fund for their own benefits. Accessed:12November2012 Frigo, M. L. 2001.
2001 CMG survey on performance measurement: Trends and challenges in performance
measurement, Cost Management Update: 1. As the international standards became prevalent, banks
had to unlearn their traditional It will synthesize and evaluate the data, and explain the literature of
the topic to establish literature to cite statistics how social support These goods mainly include the
regulations that are used everyday by a review. Economic Control or Reform or Structural Change:
Occupy the 1. Table 2 presents the number of articles identified by using a combination of keywords.
Elo’s result 2023: Return on investment increased to 6 per cent and cost effi. However, the models
from these techniques can neither prevent operational risk nor incentivize bank management in
effectively managing the risk ( Sands et al. 2018; Chapelle et al. 2008; Herring 2002; Goodhart 2001
). Accessed: 12 November 2012 Kaplan, R. S. 1983. Measuring manufacturing performance: A new
challenge for managerial accounting research. To study the state rules and SEBI guidelines to protect
the investors fund from unregistered chit funds. Chit funds are savings schemes under which a
person enters into an agreement with a specified number of. It is an index of the firms financial
stability. It is. Van Wassenhove. 2021. System dynamics for humanitarian operations revisited. We
walked the readers step-by-step through the proposed methodology and presented key findings from
each step of the review. The poor literacy in rural areas gives a wide dimension for the fraud chit
fund companies for growth. The unregistered chit funds which will rectify their mistakes by
compensating the investors without any hesitation may survive. It may also be mentioned here that
there are no rule of thumb or standard for interpreting. By continuing we’ll assume you’re on board
with our. The unregistered chit funds invest the public money in many grey fields. A concern may
sell goods on cash as well as on credit. Upload Read for free FAQ and support Language (EN) Sign
in Skip carousel Carousel Previous Carousel Next What is Scribd. Ratio analysis helps the various
groups in the following. A low inventory turnover implies over-investment in inventories, dull
business, poor quality. ProQuest The effects of different types of latent errors that are execution,
monitoring, and infrastructure need to be quantified in order to gain important insight into the
dynamics of the system. Wei, Lu, Jianping Li, and Xiaoqian Zhu. 2018. Operational Loss Data
Collection: A Literature Review. The literature review helps researcher to remove limitations of
existing work or may assist to extend prevailing s tudy. Any refund request must be made within the
Refund Period. American Journal of Business Education course, this essay addresses financial
statement analysis, including its impact on stock valuation, disclosure, and managerial behavior. It
can be used with the case study method to enable understanding, trust, and data sharing between
researchers and practitioners.
Basel: Bank for International Settlements, Available online: (accessed on 13 May 2022). In the late
19th century, the great powers of Europe were running around the world obtaining colonial
possessions, especially in Africa and Asia.. View Video Financial Analysis Of Business Plan -
TEILAR Financial Analysis of Business Plan Vaiva Maslauskaite main purpose of this paper is to
make the financial analysis of company relocation business plan by providing to use scenario method
in financial decision making. 1. Literature review 1.1. Business Plan Every type of business
necessarily. By using SD, the researchers were able to quantify the delay effects, such as hiring,
training, and dismissal of the temporary staff. Chit fund is a typical indigenous financial institution
peculiar to South India, particularly Andhra Pradesh, Tamil Nadu and Kerala. The researcher
reviewed many researches conducted in India and abroad to find out the correct area to carry out the
research work, which will fruitful for the professionals and country. But t here are very few research
and literature available on the subject related to financial reforms and its impact on Indian banks.
This ratio represents the number of times the working capital is turned over in the course of.
European Journal of Investigation in Health, Psychology and Education (EJIHPE). Fetch This
Document American Journal Of Business Education March 2010 Volume 3. They argue that simply
including non-financial metrics in their performance measurement system is not enough for
organizations to learn, improve, and grow. Upload Read for free FAQ and support Language (EN)
Sign in Skip carousel Carousel Previous Carousel Next What is Scribd. We then expanded our search,
in this step, by selecting ProQuest, in addition to Scopus. Section 3 describes the test of our
proposed methodology in banking ORM studies and presents the results. SD enabled the authors to
incorporate feedback systems that explained the occurrence of adverse consequences in the model. A
Proposed Methodology for Literature Review on Operational Risk Management in Banks. Using
longitudinal data on 258 CEOs from 118 firms, and controlling for country and industry effects, we
found that motives significant predicted both financial performance (Tobin's Q and the CAPM) and
social responsibility. We will inform you about that a month before the withdrawal of your Points. It
can be used with the case study method to enable understanding, trust, and data sharing between
researchers and practitioners. We walked the readers step-by-step through the proposed methodology
and presented key findings from each step of the review. This ratio is a general and quick measure of
liquidity of a firm. Ramanujam and Goodman ( 2003 ) and Farhan and Alam ( 2019 ) used SD
qualitative models in capturing dynamic interactions between variables that affect the ORM systems
of the studied banks. However, the models from these techniques can neither prevent operational risk
nor incentivize bank management in effectively managing the risk ( Sands et al. 2018; Chapelle et al.
2008; Herring 2002; Goodhart 2001 ). For example, the “gross martgin”is the gross profit from
operations divided. The second step is to conduct a review of literature review articles to assess,
identify, and form an understanding of key findings that can help answer research questions. Throu
gh such vectors, mobile phones introduce a variety of new threats to their own applications. In
addition, we observed that there is a need to quantify the effects of different types of latent errors in
order to gain important insight into the dynamics of the system ( Sterman 2000 ). We observed from
the literature search that only system dynamics was used in banking ORM studies. Upload Read for
free FAQ and support Language (EN) Sign in Skip carousel Carousel Previous Carousel Next What
is Scribd. Journal of Pharmaceutical and BioTech Industry (JPBI). The inclusion and exclusion
criteria, which are based on the review’s focus, goals, and coverage, are generally used by researchers
to identify relevant articles.
International Hospital Federation Chan, Y. -C. L. 2002. The benefits of balance, CMA Management,
Vol. 6: 48. Emerald Group Publishing. RBI must come up with an adequate solution to protect the
investors from the chit fund companies. Hence, a firm having a high liquidity ratio may not have a.
Fetch Full Source Accounting Information Systems Alignment And SMEs Performance.
Nonetheless, they have struggled to deal effectively with operational risk ( Huber and Funaro 2018
). In this case the business has to make it possible to repay its loans. In Systems Approaches to
Making Change: A Practical Guide. Tone at the top: the effects of gender board diversity on gender
wage inequal. Leadership Skills and seniority have a positive relationship with employee retention
and the level of readiness and initiative regarding learning is negatively related to retention. Second,
the study assumed that complaints would not be investigated before the trigger event. Additionally,
services developed by users diffused at more than double the rate of producer-innovations. It
justifies the hypothesis that keywords used by researchers can lead them to a comprehensive set of
relevant articles, and answers questions, such as how can researchers scientifically develop relevant
search terms that are not derived from their previous experience or find those that are outside their
own disciplines. The researcher reviewed many researches conducted in India and abroad to find out
the correct area to carry out the research work, which will fruitful for the professionals and country.
We described how keywords for a potential interdisciplinary approach are systematically developed.
By excluding the papers that are not literature review articles, we identified four review articles
within the scope of the initial literature search ( Table 1 ). In the event of order cancellation, the
funds will be debited back only to the account of the initial payment within business days from the
time of cancellation request. The findings revealed that the influence of Ease of use on Attitude and
of Self-efficacy on Ease of use were stronger for High users and significantly different from Low
users, while the opposite was true for the influence of Facilitating conditions on Usefulness. Unlike
market and credit risk management, ORM requires all staff within banks to be responsible for
managing operational risk along the three lines of defense model ( BCBS 2011a ). The effect of a
liberal credit policy may result in tying up substantial funds of a firm in the. There are various groups
of people who are interested in analysis of financial position of a. ST is a discipline that allows
researchers to experience the interconnectedness of life and seeing wholes, rather than parts ( Senge
1990 ). Therefore, a comparison between our proposed methodology and other literature review
methodologies is not in the scope of this paper. All articles published by MDPI are made
immediately available worldwide under an open access license. No special. Laot, Maxime. 2017.
Managing operational risk in the banking business—An internal auditor point of view. Review of
Literature related to Impact of Reforms on I ndian Banks 4. Journal of Functional Morphology and
Kinesiology (JFMK). To do so, we create a conceptual framework that maps the influence of
regulators, public health scientists, environmental advocates, consumers, employees, and other
interested parties upon corporate financial returns. In The company’s auditor must then issue a
separate opinion on financial information is fairly presented, that they have reported any internal
control. We also developed a new relevant search term which is “system dynamics” from the key
findings of our previous literature search. Literature review articles in banking operational risk
management.
Figure 1 is a conceptual representation of the proposed methodology. Naive, basic, too broad,
imprecise, and non-agreed lists of keywords can cause difficulties in locating the articles in a specific
area of interest and in producing some initial insights ( Boell and Cecez-Kecmanovic 2015; Levy and
Ellis 2006; Rowley and Slack 2004; Barki et al. 1988 ). In contrast, specific keywords with a limited
lifespan can cause challenges in identifying articles in an unknown domain ( Levy and Ellis 2006 ).
Chit funds do not receive any special assistance from the Government, but are tending to be
regulated in an Chit funds grew at a time when banking and credit facilities were inadequate and
people in general had to rely to a large measure on indigenous sources for their many productive and
consumption needs. Pakhchanyan ( 2016 ) and Wei et al. ( 2018 ) presented a number of ORM
studies using internal and external operational loss databases. Elo’s result 2023: Return on investment
increased to 6 per cent and cost effi. Thus, over the past year, chit funds of lower denomination, with
a higher number of participants, fuelled the growth of the industry in the southern states. Read More
How To Perform Critical Path Method (CPM) And Find Float. - This video provides an overview of
how to perform Critical Path Method (CPM) to find the Critical Path and Float using a Net. SD
enabled the authors to incorporate feedback systems that explained the occurrence of adverse
consequences in the model. The simulation model makes the analysis of large and complex models
possible and efficient. It includes legal risk but excludes strategic and reputational risk ( BCBS 2003
). Unfortunately, none of these suggestions provides researchers with sufficient information on how
to efficiently and systematically develop relevant search terms or keywords that can lead researchers
to a comprehensive list of relevant articles and avoid irrelevant ones. A ratio equal to or near 2: 1 is
considered as a standard or. In addition, according to Brailsford and Hilton ( 2001 ), SD is
appropriate when the state changes are continuous and not at discrete points of time. The importance
of the study was an increasing belief that the financial measures of performance management were
not as effective as before with the development of modern business enterprise. ORM in banks is an
interesting area for the proposed methodology for two reasons. Basel Committee on Banking
Supervision. 2019. The Basel Framework. These techniques are, for example, the calibration process
that merges internal and external operational loss data ( Frachot and Roncalli 2007 ) and Bayesian
Network, which integrates forward-looking and backward-looking data ( Cowell et al. 2007; Giudici
and Bilotta 2004 ). For example, the “gross martgin”is the gross profit from operations divided.
Generally, a systematic literature review cannot guarantee but it can provide assurance on the quality
of our literature review. A non-probability sample of 465 South African non-users of mobile banking
was drawn and clustered into High users and Low users of the SMS, based on the average number of
text messages sent in a week. Feature papers are submitted upon individual invitation or
recommendation by the scientific editors and must receive. In odisha besides the above companies,
some are Mideast, Sri Gayatri, Sunraj, SLB, Specimen, Swastik India, Sai Kishore, Vista Credit,
Evos, Rajiv Gandhi Memorial Multistate, Green India, Flourish India, Rose Vally, Utkal Multistate
and Jansahyog Sahkari Credit Society, Microfinance. Eling, Martin, and Werner Schnell. 2016. What
do we know about cyber risk and cyber risk insurance. External database vendors also set different
thresholds for operational loss reporting. India, in spite of its pronounced commitment to shelter the
shelter less, did not until now any policy paper in this direction approved by its parliament or the
government. As the borrowing aspect of the chit fund raised, it gave momentum to the expansion of
the chit fund business and a new class of institutional foremen developed. Assumption that
complaints will not be investigated before the trigger event is not qualified for a continuous state
change of SD ( Brailsford and Hilton 2001 ). View Video FINANCIAL PERFORMANCE
EVALUATION - Opendocs.ids.ac.uk FINANCIAL PERFORMANCE EVALUATION REVIEW
OF THE RELATED LITRATURE 12 2.1 Theoretical Framework 12 2.1.1 Meaning of Financial
Statements 13 2.1.8 Limitations of Using Financial Ratios 35 2.2 Review of Empirical Studies 37
CHAPTER III. The average collection period ratio represents the average number of days for which
a firm. In bracing for tomorrow, a paradigm shift in bank financing through innovative products and
mechanisms involving constant upgradation and revalidation of the banks.
Driven from strategies and provide a linkage between unit actions and strategic plans; 2. Editor’s
Choice articles are based on recommendations by the scientific editors of MDPI journals from
around the world. Leadership Skills and seniority have a positive relationship with employee
retention and the level of readiness and initiative regarding learning is negatively related to retention.
A secondary purpose is to provide honest and accurate formal evaluations to support rewards for
performance practices. We seek to identify achievements and limitations of this literature and to
highlight areas for further research. We then used SD as our relevant search term in the next step of
the review. This study is undertaken to review and analyze the performance effectiveness of
Syndicate Bank and other Nationalized banks in India using an Economic Managerial- Efficiency
Evaluation Model (EMEE Model) developed by researcher. He notes that while there is a welcome
increase in emphasis on non- interest income, Banks have tended to show risk averse behavior by
opting for relatively risk free investments over risky loans. The major findings of this study are that
since nationalization, the progress of banking in India has been very impressive. The literature review
helps researcher to remove limitations of existing work or may assist to extend prevailing s tudy. We
then expanded our search, in this step, by selecting ProQuest, in addition to Scopus. Following
formula is used to calculate average collection period. All you need is to choose a review and
indicate your topic when placing an order on our website. We evaluated that SD is an adequate
methodological approach for this study. ProQuest The model needs to be tested in order to uncover
the flaws in the model. According to Maila (2006), the end product of performance should be
measured against four elements that are: quantity, quality, cost or risk factors and time. Odisha has a
much more 'consistent' record when it comes to rolling out the red carpet for bogus, fly-by-night chit
fund companies, which lure the gullible small investors promising the moon before vanishing into
thin air. Nonetheless, they have struggled to deal effectively with operational risk ( Huber and
Funaro 2018 ). In Risk Management in Financial Institutions: Formulating Value Propositions. The
authors appropriately used the conceptual diagram in explaining an acceleration of latent errors and
ineffective corrective actions that caused the collapse of Barings Bank. Retrieve Content The
Progression Of Financial Restatements: Causes And Market. Performance management is defined as
“the systematic process by which an agency involves its employees, as individuals and members of a
group, in improving organisational effectiveness in the accomplishment of agency mission and
goals”, this was obtained through (U. S. Controversial topics on the usefulness of measurement
models and data problems are still widely discussed in the banking ORM literature ( Grimwade
2022; Ashby 2022; Wei et al. 2018; Pakhchanyan 2016 ). There is a positive relationship between
capital asset ratio and earnings of the bank b. Average Collection Period or Debtors Collection
Period Ratio. Accessed: 12 November 2012 Cardy, R. (2004). Incentives Systems for Health Care
Professionals. In present scenario chit funds are identified as Cheat Funds. The credit polices is the
outcome of joint efforts of Board Of Directors and Credit officers of the bank. The chit fund
companies operated in breach of Company Deposit Rules, 1975 which prohibit all companies (except
public sector undertakings) from accepting deposits which are unsecured instruments (debentures or
otherwise) for more than 10% of their net worth. View Doc The Relationship Between Corporate
Social Responsibility And. 1 The Relationship between Corporate Social Responsibility and Financial
Performance: A Literature Review Tan Gi Gi a, Amin Vakilbashib,1 and Nor Aiza Mohd Zamil c.

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