The study concerned mainly with an investigation into financial distress in banking industries causes and implication. By way of background the study commence with overview of the distress and failures in Nigerian banks.
Available documents on bank failure/distress had shown that distress of financial institutions bank to be precise did not start recently but had long existed even before independent. To identify the main causes and effect of financial distress in banking industry data were collected through the distribution of questionnaires to 80 respondents first bank of Nig Plc and secondly through extensive review of earlier studies written relating to research project topic. Data collected were analyzed and tested using percentage.
The main findings based on the analysis and subsequent test shows that the external environment factors (regulatory constraints economic down turn and political instability) and internal environment factors lack of monitoring exepreince and poor portfolio management contributed in varying degree to financial distress in banking industry. Based on the findings the researcher made possible recommendations to correct ugly effect recorded as the root causes of financial distress in banking industries in Nigeria
Therefore considering these it will be of great importance to every individual in all aspects of field of life
Cover page
Title page
Approval page
Dedication
Acknowledgement
Table of contents
List of table
Abstract
CHAPTER ONE
1.0 Introduction
1.1 Background of the study
1.2 Statement of problem
1.3 Purpose/ objective of the study
1.4 Scope of study
1.5 Research questions
1.6 Significant of terms.
CHAPTER TWO
2.0 Review of literature
2.1 Introduction
2.2 Definition of distress in banking institution
2.3 Nature of distress
2.4 Causes of distress in banking institution
2.5 The impact of financial distress banking industry
2.6 Summary of the related review literature
CHAPTER THREE
3.0 Methodology
3.1 Research design
3.2 Area of study
3.3 Population of the study
3.4 Sample and sampling procedure
3.5 Instrument for data collection
3.6 Validity of the research instrument
3.7 Reliability of the research instrument
3.8 Method of administration of the research instrument
3.9 Methods of data analysis
CHAPTER FOUR
5.0 Discussion implication recommendation
5.1 Discussion of results
5.2 Conclusion
5.3 Implication of the results
5.4 Recommendations
5.5 Suggestions for further study
5.6 Limitation of the study
Reference
Financial Distress In Banking Industries Causes And Implication. (n.d.). UniTopics. https://www.unitopics.com/project/material/financial-distress-in-banking-industries-causes-and-implication/
“Financial Distress In Banking Industries Causes And Implication.” UniTopics, https://www.unitopics.com/project/material/financial-distress-in-banking-industries-causes-and-implication/. Accessed 22 November 2024.
“Financial Distress In Banking Industries Causes And Implication.” UniTopics, Accessed November 22, 2024. https://www.unitopics.com/project/material/financial-distress-in-banking-industries-causes-and-implication/
Here’s a typical structure for Financial Distress In Banking Industries Causes And Implication research projects:
- The title page of Financial Distress In Banking Industries Causes And Implication should include the project title, your name, institution, and date.
- The abstract of Financial Distress In Banking Industries Causes And Implication should be a summary of around 150-250 words and should highlight the main objectives, methods, results, and conclusions.
- The introduction of Financial Distress In Banking Industries Causes And Implication should provide the background information, outline the research problem, and state the objectives and significance of the study.
- Review existing research related to Financial Distress In Banking Industries Causes And Implication, identifying gaps the study aims to fill.
- The methodology section of Financial Distress In Banking Industries Causes And Implication should describe the research design, data collection methods, and analytical techniques used.
- Present the findings of the Financial Distress In Banking Industries Causes And Implication research study using tables, charts, and graphs to illustrate key points.
- Interpret Financial Distress In Banking Industries Causes And Implication results, discussing their implications, limitations, and potential areas for future research.
- Summarize the main findings of the Financial Distress In Banking Industries Causes And Implication study and restate its significance.
- List all the sources you cited in Financial Distress In Banking Industries Causes And Implication project, following a specific citation style (e.g., APA, MLA, Chicago).