Hi everybody,
I was wondering if you could give me any input on what is most likely the best way to anaylize the financial statement of an Investment Bank (GS/MS)?
How would you do it, which ratios would you use and why?
Do you know any good books or papers on the subject?
Thanks in advance
I was wondering if you could give me any input on what is most likely the best way to anaylize the financial statement of an Investment Bank (GS/MS)?
How would you do it, which ratios would you use and why?
Do you know any good books or papers on the subject?
Thanks in advance
