Analysis and measurement of financial stability indicators an applied study of a sample of banks Iraqi commercial for the period (2012-2021)
Dahham Lateef Dahham and Nada Mhaimeed Hawas
The study aimed to know the analysis and measurement of the financial stability of a sample of Iraqi commercial banks, and to achieve this goal, the study dealt with the method of content analysis of the annual financial statements published on the website of the Iraqi Stock Exchange for banks (the National Bank of Iraq, the Bank of Iraq, the Iraqi Investment Bank) the study sample and for the period extending from (2012 - 2021), to collect the primary data for the purpose of measuring the study variables and their dimensions, and correlation and regression models were used in the statistical program (SPSS) to examine the relationship and influence between these variables and dimensions. The study concluded that: There is financial stability and influence in some banks, and there are other banks that do not have financial stability. The study recommended Necessity Iraqi commercial banks invest financing sources in terms that are consistent with their due dates, with the aim of achieving returns and improving profitability ratios in the study sample banks, the necessity of prioritizing financing sources to choose the most beneficial and least costly source for the commercial bank.
Dahham Lateef Dahham, Nada Mhaimeed Hawas. Analysis and measurement of financial stability indicators an applied study of a sample of banks Iraqi commercial for the period (2012-2021). Int J Finance Manage Econ 2025;8(2):830-837. DOI: 10.33545/26179210.2025.v8.i2.603