Retail Banking Loan Portfolio Equilibrium Mix: A Markov Chain Model Analysis

Citation

Mohamed, Saiful Maznan (2002) Retail Banking Loan Portfolio Equilibrium Mix: A Markov Chain Model Analysis. Masters thesis, Multimedia University.

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Abstract

Realising that a systematic loan allocation technique would normally increases the expected income on interest, this maiden study shall attempt to devise loan allocation policy using a Markov Chain Market Share model.

Item Type: Thesis (Masters)
Subjects: L Education > LB Theory and practice of education > LB2361 Curriculum
Divisions: Faculty of Management (FOM)
Depositing User: Ms Suzilawati Abu Samah
Date Deposited: 24 Jun 2010 11:09
Last Modified: 24 Jun 2010 11:09
URII: http://shdl.mmu.edu.my/id/eprint/578

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