This paper mainly focuses on the trends and bank behaviors during the global financial crisis. This paper criticizes banking sector during the financial crisis. Based on our deep analysis throughout the paper, funding and risk taking behaviour that can be found are the bank trends and behavior that had been practiced during the global crisis. This paper also focuses on the bank behavior and the financial market. The finding of the paper is the incongruity between the short-term funding and long-term funds had built up more liquidity risks. The study also finds the bank behavior that well-capitalized banks may react less to yield shocks and their profits could be less sensitive to the business fluctuations, as their portfolio decisions may vary from those taken by less promoted banks.
Md. Abu Hasnat, Kamrul Islam Talukder (2017); The Role of Banking Sector during the Global Financial Crisis of 2007 and 2008;
Int J Sci Res Publ 7(2) (ISSN: 2250-3153). http://www.ijsrp.org/research-paper-0217.php?rp=P626197