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International Finance and Accounting

Abstract

The article examines the factors influencing the process of improving the investment portfolio management system of commercial banks and the system of measures for their systematic regulation. In addition, scientific proposals and practical recommendations have been formulated to ensure the stability of economic growth, increase the capitalization of commercial banks in the implementation of reforms related to the targeted use of domestic investment sources to increase economic activity, strengthen their investment activities and improve their performance in strategically important investment projects.

References

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