This study is a non-empirical paper that provides an overview of bank stability and its relationship to earnings quality. It investigates and assesses the numerous conceptualizations of bank stability and earnings quality. This study enumerated and briefly described the methods of earnings quality that usually being used to evaluate the impact on bank stability. This provides the reader with a thorough understanding of the methods that could be used in this area and how they impact the stability of banks. To be able to outline the specifics of this study’s concepts, a variety of relevant literature has been gathered. This will be beneficial for future empirical research that related to this area.
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In-Text Citation: (Roslan & Mohamad, 2022)
To Cite this Article: Roslan, F. F., & Mohamad, M. (2022). Earnings Quality and Bank Stability: Non-Empirical Study. International Journal of Academic Research in Business and Social Sciences, 12(12), 1101– 1108.
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