@incollection{, 9E03030D45DE805A44A8ACB78D50E81E , author={{CleopasNjerekai} and {LillianGumbo} and {ColladeMurungu} and {JamesDamabaza}}, journal={{Global Journal of Management and Business Research}}, journal={{GJMBR}}2249-45880975-585310.34257/GJMBR, address={Cambridge, United States}, publisher={Global Journals Organisation}2052136 } @incollection{b0, , title={{Liquidity Risk and Correlation Risk: Implications for Risk Management}} , author={{ VAcharya } and { SSchaefer }} , journal={{Centre for Economic Policy Research (CEPR)}} } @incollection{b1, , title={{The determinants of liquidity of Indian listed commercial banks: A panel data approach}} , author={{ EAAl-Homaidi } and { ITMosab } and { .FNajibh } and { FaoziA }} , journal={{Cogent Economics and Finance}} 7 , year={2019} } @incollection{b2, , title={{Basel III: The Liquidity Coverage Ratio and liquidity risk monitoring tools}} , journal={{Basel Committee on Banking Supervision BCBS}} , year={2013} } @incollection{b3, , title={{Liquidity stress testing: a survey of theory, empirics and current industry and supervisory practices}} , journal={{Basel Committee on Banking Supervision}} , year={2013} , note={BCBS} } @book{b4, , title={{Making Basel III Work for Emerging Markets and Developing Economies}} , author={{ TBeck } and { LSuarez }} , year={2019} Center for Global Development } @incollection{b5, , title={{Lessons from Argentina and Brazil}} , author={{ WCCharles }} , journal={{Cato journal}} 23 1 , year={2003} } @incollection{b6, , title={{Zimbabwe commercial banks liquidity management in the hyperinflation environment}} , author={{ LChikoko } and { PRoux }} , journal={{African Journal of Business Management}} 6 48 , year={2012} } @book{b7, , author={{ MChoudhry }} , title={{an introduction to banking principles, strategy and risk management}} , year={2018. April 2011© 2018} , note={second edition first edition published} } @book{b8, , title={{}} , author={{ JohnWiley } and { LtdSons }} } @book{b9, , title={{Funding liquidity risk definition and measurement. European Central Bank}} , author={{ MDrehmann } and { KNikolaou }} , year={2009. 2009} } @incollection{b10, , title={{Bank liquidity and financial performance: evidence from Moroccan banking industry}} , author={{ El-MehdiFerrouhi }} , journal={{Business: Theory and Practice}} 15 4 , year={2014} } @incollection{b11, , title={{The Macroeconomic Factors Impact on Liquidity Risk: The Albanian Banking System Case}} , author={{ DMadhi }} , journal={{European Journal of Economics and Business Studies}} 3 , year={2017} } @incollection{b12, , title={{Bank liquidity and its determinants in Romania}} , author={{ IMunteanu }} , journal={{Procedia Economics and Finance}} 3 , year={2012} } @book{b13, , title={{Effect of macro-economic factors in Commercial banks in Kenya}} , author={{ SOndiro }} , year={2018} School of economics University of Nairobi } @book{b14, , title={{Linear Regression using Stata. Princetown University, Data and statistical services}} , author={{ OscarTorres-Reyna }} , year={2007} } @book{b15, , title={{Practical Guides To Panel Data Modeling: A Step-by-step Analysis Using Stata. Tutorial Working Paper. Graduate School of International Relations}} , author={{ Park-Hun } and { Myoung }} , year={2011} International University of Japan } @book{b16, , title={{Banks and banking survey 1-21 www}} , year={2019} Reserve Bank of Zimbabwe } @incollection{b17, , title={{Bank licensing, supervision and surveillance annual reports. www.rbz.co.zw. liquidity: empirical evidence from CEE countries}} , journal={{Procedia Economics and Finance}} 20 , year={2009-2019} Reserve Bank of Zimbabwe } @book{b18, , title={{The Basic Concepts and Features of Bank Liquidity and its Risk. IIUM Institute of Islam Banking and Finance, International Islamic University Malaysia Munich Personal Re PEc Archive pp}} , author={{ ASekoni }} , year={2015} } @incollection{b19, , title={{an empirical analysis of macroeconomic and bank-specific factors affecting liquidity of Indian banks}} , author={{ KSharma } and { ASinghn }} , journal={{Future Business Journal}} 2 , year={2016} } @book{b20, , title={{Bank Liquidity Risk and Performance. Review of Pacific Basin Financial Markets and Policies}} , author={{ CShen } and { YChen } and { LKao } and { CYeh }} , year={2009} } @book{b21, , title={{Panel data analysis fixed and random effects using Stata}} , author={{ OTorres }} , year={2007} Prince town University, South Africa } @incollection{b22, , title={{Impact of macroeconomic variables upon the banking system liquidity}} , author={{ ITrencaa } and { PNicolae } and { CoroveiE A }} , journal={{Procedia Economics and Finance}} 32 , year={2015} , publisher={Elsevier} } @book{b23, , title={{Liquidity of Czech and Slovak commercial banks. Recent Researches in Applied and Computational}} , author={{ PVodová }} , year={2012} } @book{b24, , title={{Determinants of Commercial Banks' Liquidity in the Czech Republic. Recent Researches in Applied and Computational}} , author={{ PVodová }} , year={2014} } @book{b25, , title={{}} , author={{ YuTian }} , year={2009} Market Liquidity Risk and Market Risk Measurement. Delft University of Technology. Master's Thesis Faculty of Electrical Engineering, Mathematics and Computer Science } @book{b26, , title={{Bank Liquidity, Bank Failure Risk and Bank Size}} , author={{ CZheng } and { ACheung } and { TCronje }} , year={2016} , publisher={Curtin University Publication Australia} }