MANAGEMENT OF RISK IN AGRICULTURAL FINANCING

 

 

TABLE OF CONTENTS

 

Title page

Approval page

Dedication

Acknowledgement

Table of contents

Abstract

 

CHAPTER ONE

  • INTRODUCTION OF “MANAGEMENT OF RISK IN AGRICULTURAL FINANCING”

 

1.1  Background of the study

1.2  Statement of the problem

1.3  Objectives of the study

1.4  Significance of the study

1.5  Statement of hypothesis

1.6  Research Question

1.7  Scope and Limitation of the study

1.8  Definition of terms

 

CHAPTER TWO

  • LITERATURE REVIEW OF “MANAGEMENT OF RISK IN AGRICULTURAL FINANCING”

 

2.1  Project Management

2.2  Management Techniques

2.3  Role of Finance in Agricultural development

2.4  Risk in agriculture

2.5  Poverty alleviation through agriculture

2.6  Farmer defence against risk and uncertainty

2.7  Uncertainty precautions

 

CHAPTER THREE

RESEARCH DESIGN AND METHODOLOGY OF “MANAGEMENT OF RISK IN AGRICULTURAL FINANCING”

 

3.1  Source of data

3.2  Source of primary data

3.3  Source of secondary data

3.4  Literature question

3.5  Sample used

 

CHAPTER FOUR

DATA PRESENTATION AND ANALYSIS OF “MANAGEMENT OF RISK IN AGRICULTURAL FINANCING”

 

4.1  Presentation of data

4.2  Analysis of data

4.3  Test of hypothesis

4.4  Interpretation of result

 

CHAPTER FIVE

SUMMARY, CONCLUSION AND RECOMMENDATON OF “MANAGEMENT OF RISK IN AGRICULTURAL FINANCING”

 

5.1  Discussion of finding

5.2  Conclusion

5.3  Recommendation

Bibliography

Appendices

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