The article analyzes the indicators of financial stability of banks and the econometric relationship between the national economy. Based on the correlation of the gross domestic product of the country and the indicators of financial stability of banks, an econometric model is formed and the corresponding conclusions are given.
| Mualliflar | Sharipova, Nilufar, Шарипова, Нилуфар, Шарипова, Нилуфар |
|---|---|
| Jurnal | Иқтисодий тараққиёт ва таҳлил |
| Nashr sanasi | 2023-09-07 |
| Jild | 1 |
| Son | 4 |
| Betlar | 239-245 |
| Til | O‘zbek |
| DOI | 10.60078/2992-877x-2023-vol1-iss4-pp239-245 |
DOI: 10.60078/2992-877x-2023-vol1-iss4-pp239-245 · Maqolaning asl sahifasi
валовой внутренний продукт, показатели финансовой устойчивости банков, корреляционная взаимосвязь, основной капитал, беспроцентный доход, чистая прибыль, gross domestic product, indicators of financial stability of banks, correlation relationship, fixed capital, interest-free income, net profit, ялпи ички маҳсулот, банкларнинг молиявий барқарорлик кўрсаткичлари, корреляцион боғлиқлик, асосий капитал, фоизсиз даромадлар, соф фойда
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