Governance of Vietnam's Financial Institutions in Accordance with International Standards until 2020

In this article, using a combination of risk-related factors, we address the governance of financial institutions, mainly Vietnam’s commercial banks, in light of such international standards as of Basel II and III. Additionally, we employ multiple regression approach to shed light on the effect of e...

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Egile Nagusiak: Tram, Thi Xuan Huong, Nguyen, Phuc Canh, Nguyen, Tu Nhu
Formatua: Artikulua
Hizkuntza:English
Argitaratua: University of Economics Ho Chi Minh City 2023
Sarrera elektronikoa:http://jabes.ueh.edu.vn/Home/SearchArticle?article_Id=85d43b2b-0ee2-4f78-8b7e-e3686c5e91a3
https://scholar.dlu.edu.vn/thuvienso/handle/DLU123456789/115489
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Gaia:In this article, using a combination of risk-related factors, we address the governance of financial institutions, mainly Vietnam’s commercial banks, in light of such international standards as of Basel II and III. Additionally, we employ multiple regression approach to shed light on the effect of each type of risk on bank performance and propose a few recommendations for effectively governing the commercial banking system of Vietnam until 2020.