FINANCIAL STABILITY AND RISK RESILIENCE OF UZBEKISTAN’S BANKING SYSTEM DURING GLOBAL ECONOMIC INSTABILITY

Авторы

  • TSUE

DOI:

https://doi.org/10.60078/2026-vol5-iss2-pp128-131

Аннотация

 This research analyzes the mechanisms of commercial banks’ financial stability and their resilience against risks under conditions of global economic instability. Using the example of the National Bank of Uzbekistan, the study examines the management practices of currency, credit, and liquidity risks. The research findings serve to develop proposals aimed at improving risk diversification, reserve formation, and stress-testing systems within the bank. 

Библиографические ссылки

“Uzbekistan–2030 Strategy” — Decree of the President of the Republic of Uzbekistan, No. PF-158, September 11, 2023.

Central Bank of the Republic of Uzbekistan — https://cbu.uz

National Bank of Uzbekistan — https://nbu.uz

Опубликован

Как цитировать

FINANCIAL STABILITY AND RISK RESILIENCE OF UZBEKISTAN’S BANKING SYSTEM DURING GLOBAL ECONOMIC INSTABILITY. (2026). Издания, 5(2), 128-131. https://doi.org/10.60078/2026-vol5-iss2-pp128-131