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1

Agha, Ghazanfar. Analysis of competition in the banking sector. Competition Commission of Pakistan, 2009.

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2

State Bank of Pakistan. Department of Statistics. Financial statements: Analysis of financial sector : 2006-09. State Bank of Pakistan, Statistics and Data Warehouse Department, 2009.

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3

State Bank of Pakistan. Department of Statistics. Financial statements: Analysis of financial sector : 2008-12. State Bank of Pakistan, Statistics and Data Warehouse Department, 2012.

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4

Reddy, K. S. Banking sector reforms and equity: A sub-regional analysis in Andhra Pradesh. Centre for Economic and Social Studies, 2006.

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5

Anoma, Kulathunga, ed. Getting finance in South Asia 2009: Indicators and analysis of the commercial banking sector. World Bank, 2008.

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6

Papi, Sandro. Motivations and consequences of M&A's in the Italian banking sector: an empirical analysis. Oxford Brookes University, 2000.

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7

Bailey, Jane Suzanne. "Organizing the unorganized" revisited: An analysis of the efficacy of labour legislation in facilitating collective representation in the Canadian banking sector. Industrial Relations Centre, Queenʼs University at Kingston, 1991.

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8

Barisitz, Stephan. Banking in Central and Eastern Europe 1980-2006: A comprehensive analysis of banking sector transformation in the former Soviet Union, Czechoslovakia, East Germany, Yugoslavia, Belarus, Bulgaria, Croatia, the Czech Republic, Hungary, Kazakhstan, Poland, Romania, the Russian Federation, Serbia and Montenegro, Slovakia, Ukraine, and Uzbekistan. Routledge, 2008.

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9

Vyborova, Elena. Financial analysis and Management (in Russian and English). INFRA-M Academic Publishing LLC., 2024. http://dx.doi.org/10.12737/1977968.

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The textbook discusses the methodology and methodology of financial analysis, diagnostics and financial management. The methodological aspects of the analysis of the financial condition of the organization in terms of assessing: liquidity, financial stability, economic insolvency are disclosed. The theoretical issues of financial computing, the basic concepts of financial management are considered. The material on the methodology of financial management of flows, risks, stocks, profits, etc. is presented. It meets the requirements of the federal state educational standards of higher education
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10

Barisitz, Stephan. Banking in Central and Eastern Europe 1980-2006: A comprehensive analysis of banking sector transformation in the former Soviet Union, Czechoslovakia, East Germany, Yugoslavia, Belarus, Bulgaria, Croatia, the Czech Republic, Hungary, Kazakhstan, Poland, Romania, the Russian Federation, Serbia and Montenegro, Slovakia, Ukraine, and Uzbekistan. Routledge, 2008.

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11

Singh, Janardan Prasad. 2006 Annual Report on Operations Evaluation. The World Bank, 2006.

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12

Singh, Janardan Prasad. 2005 Annual Report on Operations Evaluation. The World Bank, 2006.

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13

Rwirahira, John. Rwandan agriculture sector situational analysis: Sector review. Institute of Policy Analysis and Research-Rwanda, 2009.

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14

Bancos, Associação Moçambicana de, and KPMG International, eds. Banking sector in Mozambique: Banking survey, 2002. Associação Moçambicana de Bancos, 2003.

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15

Chiwele, Dennis. Zambia: Agricultural sector performance analysis. Institute for African Studies, University of Zambia, 1996.

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16

Ratios, ICC Business, ed. Brewers: An industry sector analysis. Inter Company Comparisons, 1985.

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17

Ratios, ICC Business, ed. Supermarkets: An industry sector analysis. ICC Business ratios, 1986.

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18

author, Simaran Kaur, and Export-Import Bank of India, eds. India's services sector: An analysis. Export-Import Bank of India, 2016.

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19

author, Simaran Kaur, and Export-Import Bank of India, eds. India's services sector: An analysis. Export-Import Bank of India, 2016.

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20

World Bank. 2008 Annual Review Dev Effectiveness: Shared Global Challenges. The World Bank, 2008.

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21

Apati, Seth. The Nigerian Banking Sector Reforms. Palgrave Macmillan UK, 2012. http://dx.doi.org/10.1057/9780230305359.

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22

Nigeria. Federal Ministry of Information and National Orientation., ed. The Obasanjo reforms: Banking sector. Federal Ministry of Information and National Orientation, 2005.

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23

Honohan, Patrick. Banking sector crises and inequality. World Bank, 2005.

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24

Great Britain. Department for Education and Employment., ed. Banking, finance and insurance sector. DfEE Publications, 2000.

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25

Blas, Beatriz de. FDI in the banking sector. National Bureau of Economic Research, 2010.

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26

Simpson, Thomas D. Money, banking, and economic analysis. 3rd ed. Prentice-Hall, 1987.

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27

Simpson, ThomasD. Money, banking and economic analysis. 3rd ed. Prentice-Hall, 1987.

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28

Poletaeva, Vladislava. Economics of sustainable industrial growth: concept, problems and possible mechanisms of formation. INFRA-M Academic Publishing LLC., 2020. http://dx.doi.org/10.12737/1086387.

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The monograph examines the issues of transformation of the Russian economy from raw materials export model to a model of sustainable industrial growth. In the first Chapter of the work the author formulates the definition of sustainable economy growth and the expediency of its formation, analyzes the problems that hinder the transformation of national economic system into a model for sustainable industrial growth, and identified possible mechanisms of such transformation. In the second Chapter, in order to determine the sources of the implementation of the financial mechanism of forming of eco
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29

Commerce, Ceylon Chamber of. Apparel sector statistical analysis, 2012-2013. The Ceylon Chamber of Commerce, 2014.

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30

Oulidi, Nada, Abdullah Al-Hassan, and May Y. Khamis. Gcc Banking Sector: Topography and Analysis. International Monetary Fund, 2010.

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31

Oulidi, Nada, Abdullah Al-Hassan, and May Y. Khamis. Gcc Banking Sector: Topography and Analysis. International Monetary Fund, 2010.

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32

Oulidi, Nada, Abdullah Al-Hassan, and May Y. Khamis. Gcc Banking Sector: Topography and Analysis. International Monetary Fund, 2010.

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33

Manole, Vlad, and David A. Grigorian. Cross-Country Non-Parametric Analysis of Bahrain's Banking Sector. International Monetary Fund, 2005.

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34

Manole, Vlad, and David A. Grigorian. Cross-Country Non-Parametric Analysis of Bahrain's Banking Sector. International Monetary Fund, 2005.

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35

Manole, Vlad, and David A. Grigorian. Cross-Country Non-Parametric Analysis of Bahrain's Banking Sector. International Monetary Fund, 2005.

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36

International Monetary Fund. Monetary and Capital Markets Department. France: Financial Sector Assessment Program-Technical Note-Risk Analysis of Banking and Insurance Sector. International Monetary Fund, 2019.

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37

International Monetary Fund. Monetary and Capital Markets Department. France: Financial Sector Assessment Program-Technical Note-Risk Analysis of Banking and Insurance Sector. International Monetary Fund, 2019.

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38

International Monetary Fund. Monetary and Capital Markets Department. Italy: Financial Sector Assessment Program-Technical Note-Systemic Risk Analysis and Stress Testing of the Banking and Corporate Sectors. International Monetary Fund, 2020.

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39

International Monetary Fund. Monetary and Capital Markets Department. Australia: Financial Sector Assessment Program-Technical Note-Stress Testing the Banking Sector and Systemic Risk Analysis. International Monetary Fund, 2019.

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40

International Monetary Fund. Monetary and Capital Markets Department. Australia: Financial Sector Assessment Program-Technical Note-Stress Testing the Banking Sector and Systemic Risk Analysis. International Monetary Fund, 2019.

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41

International Monetary Fund. Monetary and Capital Markets Department. New Zealand : Financial Sector Assessment Program: Technical Note-Stress Testing the Banking Sector and Systemic Risk Analysis. International Monetary Fund, 2017.

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42

International Monetary Fund. Monetary and Capital Markets Department. New Zealand : Financial Sector Assessment Program: Technical Note-Stress Testing the Banking Sector and Systemic Risk Analysis. International Monetary Fund, 2017.

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43

International Monetary Fund. Monetary and Capital Markets Department. New Zealand : Financial Sector Assessment Program: Technical Note-Stress Testing the Banking Sector and Systemic Risk Analysis. International Monetary Fund, 2017.

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44

Korniyenko, Yevgeniya, Artak Harutyunyan, Hanan AbuShanab, Luca Errico, and Elena Loukoianova. Mapping the Shadow Banking System Through a Global Flow of Funds Analysis. International Monetary Fund, 2014.

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45

Korniyenko, Yevgeniya, Artak Harutyunyan, Richard$cd 1733 Walton, Luca Errico, and Elena Loukoianova. Mapping the Shadow Banking System Through a Global Flow of Funds Analysis. International Monetary Fund, 2014.

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46

Harutyunyan, Artak, Yevgeniya Ms Korniyenko, Richard$cd 1733 Walton, Luca Errico, and Elena Loukoianova. Mapping the Shadow Banking System Through a Global Flow of Funds Analysis. International Monetary Fund, 2014.

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47

International Monetary Fund. Monetary and Capital Markets Department. Republic of Korea: Financial Sector Assessment Program-Stress Testing and Financial Stability Analysis-Technical Note. International Monetary Fund, 2015.

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48

Pallavi, Paliwal. Study on Analysis of Merger Motives and Post Merger Synergies in Indian Banking Sector. Quadry, Fatima, 2022.

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49

GETTING FINANCE IN SOUTH ASIA 2010: INDICATORS AND ANALYSIS OF THE COMMERCIAL BANKING SECTOR. THE WORLD BANK, 2010.

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50

International Monetary Fund. Monetary and Capital Markets Department. Republic of Korea: Financial Sector Assessment Program-Technical Note-Systemic Risk Analysis, Financial Sector Stress Testing, and an Assessment of Demographic Shift in Korea. International Monetary Fund, 2020.

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