TIJORAT BANKLARIDA MUAMMOLI KREDITLARNI BOSHQARISH TIZIMINI TAKOMILLASHTIRISH: RISKGA ASOSLANGAN YONDASHUV VA AMALIY MEXANIZMLAR

TIJORAT BANKLARIDA MUAMMOLI KREDITLARNI BOSHQARISH TIZIMINI TAKOMILLASHTIRISH: RISKGA ASOSLANGAN YONDASHUV VA AMALIY MEXANIZMLAR

##article.authors##

  • Tojiyev Sardor Dilmurod o‘g‘li

##plugins.pubIds.doi.readerDisplayName##:

https://doi.org/10.5281/zenodo.18214754

##article.subject##:

muammoli kreditlar, kredit risklari, riskga asoslangan yondashuv, kredit portfeli, bank barqarorligi, riskmenejment.

##article.abstract##

Ushbu maqolada tijorat banklarida muammoli kreditlarni boshqarish tizimini takomillashtirish masalalari
riskga asoslangan yondashuv nuqtayi nazaridan tahlil qilinadi. Tadqiqotda muammoli kreditlar shakllanishiga ta’sir etuvchi
ichki va tashqi risk omillari aniqlanib, ularni boshqarishning zamonaviy mexanizmlari ko‘rib chiqiladi. Kredit risklarini erta
aniqlash, baholash va monitoring qilish jarayonlarining ahamiyati asoslab beriladi. Shuningdek, muammoli kreditlar bilan
ishlashda restrukturizatsiya va undirish mexanizmlarini takomillashtirishning amaliy jihatlari yoritiladi. Tadqiqot natijalari
tijorat banklarida kredit portfeli sifatini oshirish va moliyaviy barqarorlikni mustahkamlashga qaratilgan ilmiy xulosalar va
amaliy tavsiyalar ishlab chiqishga xizmat qiladi.

Биография автора

Tojiyev Sardor Dilmurod o‘g‘li

Toshkent amaliy fanlar universiteti
“Bank va moliya” kafedrasi assistenti


Библиографические ссылки

J. Hull. Risk Management and Financial Institutions. – Hoboken: John Wiley & Sons, 2018. – 760 p.

P. Jorion. Value at Risk: The New Benchmark for Managing Financial Risk. – New York: McGraw-Hill, 2007. – 592 p.

R. Crouhy, D. Galai, M. Mark. The Essentials of Risk Management. – New York: McGraw-Hill, 2014. – 480 p.

Basel Committee on Banking Supervision. Sound Practices: The Management and Supervision of Credit Risk. –

Basel: BIS, 2000. – 48 p.

Basel Committee on Banking Supervision. Principles for the Management of Credit Risk. – Basel: BIS, 2000. – 33 p.

Basel Committee on Banking Supervision. International Convergence of Capital Measurement and Capital Standards.

– Basel: BIS, 2006. – 347 p.

M. Power. The Risk Management of Everything. – London: Demos, 2004.-156 p.

J. Sinkey. Commercial Bank Financial Management. – New Jersey: Prentice Hall, 2002. – 936 p.

E. Altman, A. Saunders. Credit Risk Measurement: Developments over the Last 20 Years. – Journal of Banking &

Finance, 1998. – 1721–1742 p.

A. Saunders, M. Cornett. Financial Institutions Management: A Risk Management Approach. – New York: McGraw-

Hill, 2019. – 784 p.

J. Bessis. Risk Management in Banking. – Chichester: Wiley,2015.– 872 p.

Загрузки

##submissions.published##

2026-01-01
Loading...