图书目录
1 Introduction
1.1 Research background
1.2 Research significance
1.3 The research ideas and main content
2 Prior research and hypothesis
2.1 Corporate governance concept and related theories
2.2 The concept of financial risk and the models of financial risk
2.3 Advance research and assumptions on the relationship between corporate governance and financial risk
3 Research design and method
3.1 Sample selection and data source
3.2 Research variables
3.3 Model construction
4 Empirical analysis
4.1 Descriptive statistics
4.2 Correlation analysis
4.3 Regression analysis
5 Conclusions and recommendations
5.1 Conclusion
5.2 Limitations and future research directions
Appendix-1 Data for 2018
Appendix-2 Code for Data Processing
References
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