+7 925 966 4690, 9am6pm (GMT+3), Monday – Friday
ИД «Финансы и кредит»

JOURNALS

  

FOR AUTHORS

  

SUBSCRIBE

    
Finance and Credit
 

Application of correlation and regression analysis for commercial banks'financial performance assessment

Vol. 20, Iss. 34, SEPTEMBER 2014

Available online: 6 September 2014

Subject Heading: Foreign experience

JEL Classification: 

Pages: 50-53

Poryadina I.V. Eurasian Humanitarian Institute, Astana, Kazakhstan
poryadina0806@mail.ru

The article describes the use of correlation and regression analysis of financial indicators of a commercial bank. The author offers a technique to analyze the return on capital using correlation and elasticity ratios, and provides recommendations based on the obtained results for the studied banks.

Keywords: analysis, banks, correlation, model, factors

References:

  1. Eliseeva I.I. Ekonometrika [Econometrics]. Moscow, Finansy i statistika Publ., 2002, 344 p.
  2. Eliseeva I.I. Praktikum po ekonometrike [Case study on econometrics]. Moscow, Finansy i statistika Publ., 2006, 192 p.
  3. Watsham T.J., Parramore K. Quantitative Methods in Finance. Moscow, Yuniti-Dana Publ., 2002, 527 p.

View all articles of issue

 

ISSN 2311-8709 (Online)
ISSN 2071-4688 (Print)

Journal current issue

Vol. 30, Iss. 3
March 2024

Archive