Capital Structure And Financial Performance Of Deposit Money Banks

Table of Content
Chapter One
Introduction
- 1.1 Background to the Study
- 1.2 Statement of the Research Problem
- 1.3 Research Questions
- 1.4 Objectives of the Study
- 1.5 Research Hypotheses
- 1.6 Scope of Study
- 1.7 Significance of the Study
- 1.8 Limitations to the Study
- 1.9 Operational Definition of Terms
Chapter Two
Literature Review
- 2.1 Introduction
- 2.2 Conceptual Review
- 2.2.1 Definition of Capital Structure
- 2.2.2 Factors Influencing Capital Structure
- 2.2.3 Overview of Financial Performance Metrics
- 2.3 Theoretical Framework
- 2.3.1 Trade-Off Theory
- 2.3.2 Pecking Order Theory
- 2.3.3 Agency Theory
- 2.3.4 Market Timing Theory
- 2.3.5 Modigliani and Miller Theorem
- 2.3.6 Signaling Theory
- 2.3.7 Behavioral Finance Perspective
Chapter Three
Methodology
- 3.1 Introduction
- 3.2 Research Design
- 3.3 Population
- 3.4 Sample Size and Sampling Technique
- 3.5 Sources of Data
- 3.6 Data Collection Method
- 3.7 Method of Data Analysis
- 3.8 Model Specification
- 3.9 Measurement of Variables
- 3.10 Robustness Test
Chapter Four
Data Presentation and Analysis
- 4.0 Introduction
- 4.1 Data Presentation
- 4.2 Descriptive Statistics
- 4.3 Correlation Analysis
- 4.4 Regression Results
- 4.5 Test of Hypotheses
- 4.6 Discussion of Findings
Chapter Five
Summary of Findings, Conclusion and Recommendations
- 5.0 Introduction
- 5.1 Summary of Findings
- 5.2 Conclusion
- 5.3 Recommendations
- 5.4 Contribution to Knowledge
- 5.5 Implications for Further Studies
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