[HTML][HTML] Banks' financial stability and macroeconomic key factors in GCC countries

H Mabkhot, HAH Al-Wesabi - Sustainability, 2022 - mdpi.com
Purpose: This study examines the impact of macroeconomic factors on GCC banks' stability.
As GCC countries still rely on oil export revenues to cover government expenses and …

The Relationship Between Company Value and Good Financial Governance: Empirical Evidence from Indonesia

DS Hariyani, T Ratnawati… - The Journal of Asian …, 2021 - koreascience.kr
Abstract State-Owned Enterprises (SOEs) are business entities that are owned mainly by the
state. Good financial governance (GFG) is as important for SOEs as for the private sector …

[HTML][HTML] Effect of macroeconomic dynamics on bank asset quality under different market conditions: Evidence from Ghana

R Apau, A Sibindi, L Jeke - Risks, 2023 - mdpi.com
This study assesses the dynamic relationship between macroeconomic factors and bank
asset quality based on changes in the condition of stock market returns. A dynamic panel …

KURUMSAL YÖNETİM, BANKAYA ÖZGÜ VE MAKRO DEĞİŞKENLERİN KARLILIK ÜZERİNDEKİ ETKİSİ: BİST'TE İŞLEM GÖREN BANKALAR ÜZERİNE BİR …

F Akbaş - Dumlupınar Üniversitesi İİBF Dergisi, 2023 - dergipark.org.tr
Kurumsal yönetim uygulamaları ilk çıktığı dönemlerde gönüllülük esasına göre
düzenlemeler içermekteydi. Günümüzde bu uygulamalar yasal düzenlemelerle birçok …

The Effects of Changing Macroeconomic Conditions on the Commercial Bank Returns in South Africa

T Mofokeng, F Moodley - International Journal of Economics …, 2025 - econjournals.net.tr
The stability and profitability of commercial banks are closely tied to macroeconomic
conditions, yet the precise nature of this relationship remains debated, especially in …

The Impact of Macroeconomic Factors on the Banking Sector's Profitability in Pakistan

N Ayub, M Shah - Pakistan Journal of Humanities …, 2024 - journals.internationalrasd.org
This research aims to study and analyze the impact of macroeconomic factor on the banking
sector's profitability in Pakistan. Banking sector of Pakistan is the backbone of its economy …

Corporate Governance dan Kinerja Keuangan Bank di Indonesia: Sebelum dan Selama Covid-19

S Sudradjat, MU Mai, D Djatnika - Jurnal Riset Akuntansi dan Keuangan - ejournal.upi.edu
This research has two objectives. First, compare the financial performance of banks as
measured by Return on assets (ROA) and Return on equity (ROE) between before and …

[PDF][PDF] Corporate Governance and Banking Stability in the MENA Region

J Badran, M Chamoun - International Business Research, 2024 - scholar.archive.org
This study investigates the determinants of banking stability through a comprehensive
analysis of various financial and governance factors. Employing a panel regression …

Dynamic Models: Analysis of Macroeconomic Variables And Islamic Banks Performance in Indonesia Covid19 Period

F Nursjanti, I Nilasari - Jurnal Ilmu Keuangan dan Perbankan …, 2023 - ojs.unikom.ac.id
The Covid19 pandemic has had an impact on macroeconomic conditions, and shocks to
these factors will have an impact on how well banks, particularly Islamic banks, perform …

Measuring the impact of exchange rate volatility on the depth and efficiency of the financial sector: evidence from Nigeria

EO Abanikanda - International Journal of Monetary …, 2022 - inderscienceonline.com
This study examines the effect of exchange rate volatility on the depth and efficiency of
Nigeria's financial sector over the period of 1986-2018 via the autoregressive distributed lag …