Skip to main navigation Skip to search Skip to main content

Net Interest Margin as an Indicator of Bank Asset and Liability Management

    Research output: Chapter in Book/Report/Conference proceedingConference paperResearchpeer-review

    Original languageEnglish
    Title of host publication8th International Days of Statistics and Economics, Prague, (11-13 September, 2014)
    Pages1314-1325
    Publication statusPublished - 2014

    OECD Field of Science

    • 5.2 Economics and Business

    Cite this