DSpace Repository

Analysis of Investment Analysis of Agrani Bank PLC.

Show simple item record

dc.contributor.author Shuvo, Ahasan Ullah
dc.date.accessioned 2025-10-20T04:37:24Z
dc.date.available 2025-10-20T04:37:24Z
dc.date.issued 2024-12-17
dc.identifier.citation BBA en_US
dc.identifier.uri http://dspace.daffodilvarsity.edu.bd:8080/handle/123456789/15132
dc.description Internship en_US
dc.description.abstract This report, titled “Analysis of Investment Analysis of Agrani Bank PLC,” evaluates the investment portfolio performance and financial stability of Agrani Bank PLC from 2019 to 2023, with a focus on assessing its investment strategies and financial metrics. The primary objectives are to analyze the bank's asset allocation and portfolio diversification approaches and conduct a financial performance assessment using key financial ratios. The analysis identifies critical trends in the bank’s financial performance. Key profitability ratios, such as Net Profit Margin, fluctuated between 7.65% and 9.06%, indicating inconsistent cost management. Similarly, ROE and ROA showed declining trends, with ROE falling to 5.89% in 2023, signaling inefficiencies in capital utilization. On the other hand, Yield on Investments improved steadily, reaching 7.11% in 2023, highlighting the bank's ability to generate higher returns from its investments. en_US
dc.description.sponsorship DIU en_US
dc.language.iso en_US en_US
dc.publisher Daffodil International University en_US
dc.subject Return on Investment en_US
dc.subject Investment Analysis en_US
dc.subject Financial Performance en_US
dc.subject Portfolio Management en_US
dc.subject Risk Assessment en_US
dc.title Analysis of Investment Analysis of Agrani Bank PLC. en_US
dc.type Other en_US


Files in this item

This item appears in the following Collection(s)

Show simple item record

Search DSpace


Browse

My Account