Bank of America will be used.
https://investor.bankofamerica.com/annual-reports-and-proxy-statementshttps://investor.bankofamerica.com/annual-reports-and-proxy-statements
Using the financial statements for the last 3-5 years and the financial ratios
covered in class, analyze the bank’s return, risk, and accounting performance.
Create a table with the list of relevant ratios for all years. Conduct a return on
equity decomposition analysis for the most recent year. Explain/discuss your
results.
– Review the bank’s annual reports for the last 3-5 years to collect information on
the bank’s summary analysis of interest rate risk. How does your bank manage
interest rate risk? Create a table that summarizes the relevant data found in the
report for each year.
– Review the bank’s annual reports for the last 3-5 years to collect information on
the bank’s capital structure and capital adequacy. What is the bank’s capital
position and how does it manage capital requirements set by Basel regulatory
capital rules?
Use Times New Roman font size 12, and 1” margins.
• Please try to use tables to present your findings/results.
• The report should be free of plagiarism.