TIJORAT BANKLARIDA MOLIYAVIY RISKLARNI BOSHQARISH JARAYONINI TAKOMILLASHTIRISH
DOI:
https://doi.org/10.60078/2992-877X-2026-vol4-iss1-pp103-112Annotasiya
Ushbu maqolada tijorat banklarida moliyaviy risklarni boshqarish jarayonlari bo‘yicha nazariy va amaliy jihatlar o‘rganiladi. Xususan, moliyaviy risklarni aniqlash, baholash, nazorat qilish, monitoring va hisobot berishning zamonaviy usullari orqali tahlil qilinib, boshqaruv jarayonlarini takomillashtirish bo‘yicha amaliy tavsiyalar ishlab chiqiladi. Maqolaning asosiy maqsadi moliyaviy risklar bilan bog‘liq muammolarga kompleks yondashuvni ishlab chiqish va tijorat banklarining moliyaviy barqarorligini taʼminlashda ushbu yondashuvni qo‘llash imkoniyatlarini aniqlashdir.
Kalit so‘zlar:
likvidlilik riski kredit riski bozor risk tijorat banklari riskni aniqlash baholashBibliografik manbalar
Al-Anbagi, A.T.K. (2025) ‘The Role of Financial Statements in Reporting Financial Risks: A Case Study in the Baghdad Municipality’, International Journal of Finance & Banking Studies, 14(3), pp. 159-165. https://www.ssbfnet.com/ojs/index.php/ijfbs/article/view/4505
International Monetary Fund (2025) Republic of Uzbekistan: Financial Sector Assessment Program – Detailed Assessment of Observance – Basel Core Principles for Effective Banking Supervision, IMF Country Report No. 25/227. https://www.imf.org/-/media/files/publications/cr/2025/english/1uzbea2025004-source-pdf.pdf
Juma, A.M. and Atheru, G. (2018) ‘Financial Risks Analysis and Performance of Commercial Banks in Kenya’, *Journal of Finance and Accounting*, Stratford Peer Reviewed Journals and Books, 2(2), pp. 76–95. https://stratfordjournalpublishers.org/journals/index.php/journal-of-accounting/article/view/211
Ngo, H.K. and Trinh, H.T.T. (2025) ‘The impact of financial risks on bank performance: evidence from Bayesian analysis in Vietnam’s commercial banks’, *Discover Sustainability*, 6, article number 515. https://link.springer.com/article/10.1007/s43621-025-01246-1
O‘zbekiston Respublikasi Prezidenti (2023) “O‘zbekiston — 2030” strategiyasi to‘g‘risida, Farmon PF-158. https://lex.uz/docs/-6600413
Skrebtsova, T.V. (2015) ‘Finansovye riski v kommercheskom banke: osnovnye metodologicheskie aspekty upravleniya’, *Scientific article*, https://cyberleninka.ru/article/n/finansovye-riski-v-kommercheskom-banke-osnovnye-metodologicheskie-aspekty-upravleniya/viewer (15-yanvar 2026-yilda kirilgan).
Ubul, R.B.U. and Kithandi, C.K. (2025) ‘Effect of Financial Risk on Financial Performance of Banks Listed at Nairobi Securities Exchange, Kenya’, African Journal of Commercial Studies, 6(5), pp. 101-116. https://ijcsacademia.com/index.php/journal/article/view/348
Wikipedia (2025) ‘Financial risk’, Wikipedia, The Free Encyclopedia. https://en.wikipedia.org/wiki/Financial_risk?utm_source
Yuklashlar
Nashr qilingan
Qanday qilib iqtibos keltirish kerak
Nashr
Bo'lim
Litsenziya

Ushbu ish Creative Commons Attribution 4.0 Worldwide.









