These findings underscore the need for context-specific corporate governance models to optimize overall financial performance and mitigate risk. This research contributes to the understanding of how multiple governance models affect bank stability globally and provides information for policy makers and bank executives aiming to improve governance frameworks. These findings underscore the need for context-specific ways of corporate governance to optimize economic performance and mitigate risk. This research contributes to the expert knowledge of the ways in which different governance models affect the global stability of financial institutions and provides information for policymakers and bank executives aiming to improve governance frameworks.
| Mualliflar | Ismoilova, Shaxzoda, Urinov, Bobur, Исмоилова, Шахзода, Уринов, Бобур, Ismoilova, Shaxzoda, Urinov, Bobur |
|---|---|
| Jurnal | Иқтисодий тараққиёт ва таҳлил |
| Nashr sanasi | 2024-06-30 |
| Jild | 2 |
| Son | 6 |
| Betlar | 88-95 |
| Til | Ingliz |
| DOI | 10.60078/2992-877x-2024-vol2-iss6-pp88-95 |
DOI: 10.60078/2992-877x-2024-vol2-iss6-pp88-95 · Maqolaning asl sahifasi
Корпоративное управление, финансовая стабильность, банки, модели, англо-американская, немецкая, японская модель, структура правления, прозрачность, управление рисками, многомерный регрессионный анализ, США, Великобритания, Германия, Япония, Китай, Corporate governance, financial stability, banks, models, Anglo-American, German, Japaneseʼs model, board structure, transparency, risk management, multivariate regression analysis, USA, UK, Germany, Japan, China, Korporativ boshqaruv, moliyaviy barqarorlik, banklar, modellar, ingliz-amerika, nemis, yapon modeli, boshqaruv kengashi tuzilmasi, shaffoflik, risklarni boshqarish, koʻp oʻlchovli regressiya tahlili, AQSH, Buyuk Britaniya, Germaniya, Yaponiya, Xitoy
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