INSTITUTIONAL MODELS OF RISK GOVERNANCE IN BANKS OF DEVELOPED COUNTRIES

Authors

  • Madaminov Bekzod Allayarovich Автор

DOI:

https://doi.org/10.5281/zenodo.19255633

Abstract

Scientific research is ongoing on the global scale to improve the mechanisms for effective management of the stability of commercial banks, in particular, to increase capitalization and liquidity, develop lending, and reduce risks. Ensuring the financial stability of the banking system, improving risk assessment based on international experience, and introducing modern control mechanisms are urgent issues. 

 

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Published

2026-03-27

How to Cite

Madaminov, B. (2026). INSTITUTIONAL MODELS OF RISK GOVERNANCE IN BANKS OF DEVELOPED COUNTRIES. International Conference on Science, Education & Law, 2(3), 212-215. https://doi.org/10.5281/zenodo.19255633