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Date: 2017-12-27 03:51:42 | Asian Academy of Management Journal, Vol. 22, No. 2, 209–244, 2017 THE USE OF FINANCIAL DERIVATIVES IN MEASURING BANK RISK MANAGEMENT EFFICIENCY: A DATA ENVELOPMENT ANALYSIS APPROACH Shahsuzan ZakariaAdd to Reading ListSource URL: web.usm.myDownload Document from Source WebsiteFile Size: 1,13 MBShare Document on Facebook |