Journal of Engineering and Applied Sciences

Year: 2020
Volume: 15
Issue: 2
Page No. 380 - 383

A Study on Interest Rate Risk of Commercial Banks

Authors : G. Darshan and N. Suresh

References

Ali, T.M., M.T. Mahmood and T. Bashir, 2015. Impact of interest rate, inflation and money supply on exchange rate volatility in Pakistan. World Appl. Sci. J., 33: 620-630.

Babajide, A., L. Isola and R. Somoye, 2016. Stock market response to economic growth and interest rate volatility: Evidence from Nigeria. Int. J. Econ. Financial Issues, 6: 354-360.
Direct Link  |  

Mehra, R. and A. Sinha, 2016. The Term Structure of Interest Rates in India. In: Monetary Policy in India: A Modern Macroeconomic Perspective, Ghate, C. and K.M. Kletzer (Eds.). Springer, New Delhi, India, ISBN:978-81-322-2840-0, pp: 231-256.

Narayanarao, S., S.A. Kumar and K. Janardhanam, 2012. The effects of volatility of interest rates on stock returns: A study on Indian stock market. Proceedings of the International Conference on India Inc-Innovation Management Strategies, January 1, 2012, Don Bosco Group of Institutions, Kumbalagudu, India, pp: 1-8.

Patnaik, I. and A. Shah, 2002. Interest Rate Risk in the Indian Banking System. International Monetary Fund, Washington, USA., Pages: 400.

Patnaik, I. and A. Shah, 2004. Interest Rate Volatility and Risk in Indian Banking. Vol. 4, International Monetary Fund, Washington, USA.,.

Vaz, J.J., M. Ariff and R.D. Brooks, 2008. The effect of interest rate changes on bank stock returns. Investment Manage. Financial Innovations, 5: 221-236.
Direct Link  |  

Design and power by Medwell Web Development Team. © Medwell Publishing 2024 All Rights Reserved