Risk

Financial and social performance of Senegalese MFIs: a comparative analysis of the effects of a default rate increase

Ndiouma Ndour and Eric Paget-Blanc
Savings and Development Vol. 38(2014), No. 1, pp. 45-67

The article focuses on the quality of the loan portfolio of microfinance institutions (MFIs) in Senegal. The study was designed to assess the effect of the increase in non-performing loans (NPLs) on financial and social performance of MFIs and to [...]

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Risk, return and trading volume relationship in an emerging stock market: a case study of Karachi stock exchange

Khalid Mustafa and Mohammed Nishat
Savings and Development Vol. 34(2010), No. 2, pp. 147-168

The paper determines the empirical relationship between risk, return and trading volume in the Karachi Stock Exchange (KSE) using the GARCH-M technique, and data for the time period December 1991 to December 2010. The paper contributes by [...]

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