TIJORAT BANKLARIDA MOLIYAVIY RISKLARNI BOSHQARISH JARAYONINI TAKOMILLASHTIRISH

Mualliflar

DOI:

https://doi.org/10.60078/2992-877X-2026-vol4-iss1-pp103-112

Annotasiya

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 baholash

Bibliografik manbalar

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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

Karimov , K. (2026). TIJORAT BANKLARIDA MOLIYAVIY RISKLARNI BOSHQARISH JARAYONINI TAKOMILLASHTIRISH . Iqtisodiy Taraqqiyot Va Tahlil, 4(1), 103-112. https://doi.org/10.60078/2992-877X-2026-vol4-iss1-pp103-112