Banking Sector strategies to achieve Financial Stability and face the Potential financial crisis, for years 2007 and 2014 in the UK.

Banking Sector strategies to achieve Financial Stability and face the Potential financial crisis, for years 2007 and 2014 in the UK.

Order Description

I am attaching a word file of the proposal (that I received it from you earlier), and including the following comments to be shown to the writer:

The following is the supervisor comment on my proposal and work:

The following paper can be your main reference. Then, you need to think about the equation on page 70. Are all these variables available. Especially NPL, check the database (Bankscopes, which I showed you in our last meeting).
Jim�nez, G., & Saurina, J. (2006). Credit Cycles, Credit Risk, and Prudential Regulation, International Journal of Central Banking 2 (2).65-98.

Try to understand the equation, why the author is doing that. The objectives and title need to be adjusted according to this. Think of some objectives around this equation. The methodology will be fixed effect and random effect panel analysis. (which is easier than the author�s GMM method).

If you agree with this. Then you can start to build your dissertation around this.

End of supervisor’s comments

I need to receive the work in parts as per the supervisor’s requirements. He asked to see the first two chapters (Introduction and Literature review within three weeks. (this work can be altered if necessary and skip the introduction to do any other chapter that of important to be started with along with the Literature review).

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