BANK FAOLIYATIDA RISKLARNI BAHOLASH VA BOSHQARISH

Authors

  • Abdirayimov Hidoyat Akram o‘g‘li TDIUSF BI-124 guruh talabasi Author
  • Karimov Mardon Akram o‘g‘li Ilmiy rahbar: TDIU Samarqand filiali “Moliya, soliq va bank ishi” kafedrasi katta o‘qituvchisi, PhD Author

Keywords:

bank riski, risk-menejment, kredit riski, likvidlilik riski, Basel III, kapital yetarliligi, moliyaviy barqarorlik, O‘zbekiston bank tizimi.

Abstract

Mazkur ilmiy maqolada bank faoliyatida risklarni baholash va boshqarishning nazariy-uslubiy asoslari, xalqaro tajriba hamda O‘zbekiston bank tizimidagi amaliy holat tahlil qilinadi. Tijorat banklarida kredit, likvidlilik, bozor, operatsion va kapital yetarliligi risklarini aniqlash, o‘lchash va monitoring qilish mexanizmlari yoritilgan. Xalqaro moliyaviy inqirozlar tajribasi asosida risk-menejment tizimini takomillashtirish zarurati asoslab berilgan. Shuningdek, Basel qo‘mitasi tavsiyalari va milliy bank amaliyoti o‘rtasidagi uyg‘unlik masalalari tahlil qilingan.

References

IMF. Global Financial Stability Report. Washington D.C., 2009.

World Bank. World Development Indicators. Washington D.C., 2022.

O‘zbekiston Respublikasi Markaziy banki. Yillik hisobot materiallari. Toshkent.

Rose, P. S. Commercial Bank Management. McGraw-Hill, 2013.

Mishkin, F. The Economics of Money, Banking and Financial Markets. Pearson, 2018.

Basel Committee on Banking Supervision. Basel III: A Global Regulatory Framework for More Resilient Banks and Banking Systems. BIS, 2011.

Abdullayev, Sh. Bank risklari va ularni boshqarish. Toshkent, 2015.

Xodiyev, B. va boshqalar. Moliya bozori va bank ishi. Toshkent, 2018.

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Published

2026-04-29

How to Cite

BANK FAOLIYATIDA RISKLARNI BAHOLASH VA BOSHQARISH. (2026). Science and Innovation, 4(30), 115-117. https://www.in-academy.uz/index.php/SI/article/view/38796
Innovative Academy RSC
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