relation: https://uzindex.com/id/eprint/1810/ title: BANK AKTIVLARNI BAHOLASHDA RISK OMILLARI creator: Turayeva, Gulizaxro creator: Axmadov, Davlatbek creator: Toirova, Dilrabo creator: Ismoilova, Ruxshona description:

Mazkur tezisda bank aktivlarini baholash jarayonida yuzaga keladigan asosiy risk omillari, ular banklar faoliyatiga qanday ta’sir ko‘rsatishi hamda bu risklarni aniqlash va kamaytirishning samarali usullari tahlil qilingan. Bank aktivlarining sifati moliyaviy barqarorlikning bosh omili bo‘lib, baholash jarayonida kredit riski, bozor riski, likvidlik riski, operatsion risk hamda foiz stavkasi riski alohida o‘rganiladi. Tadqiqot natijalari banklarda risk-menejment mexanizmlarini kuchaytirish zarurligini ko‘rsatadi.

date: 2025-11-05 type: Article type: NonPeerReviewed format: application/pdf language: en identifier: https://uzindex.com/id/eprint/1810/1/BANK_AKTIVLARNI_BAHOLASHDA_RISK_OMILLARI.pdf identifier: Turayeva, Gulizaxro and Axmadov, Davlatbek and Toirova, Dilrabo and Ismoilova, Ruxshona (2025) BANK AKTIVLARNI BAHOLASHDA RISK OMILLARI. Fan va Tadqiqot Samaralari, 2 (8). pp. 78-80.