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TIJORAT BANKLARI FAOLIYATIDAGI KREDIT RISKLARINI BOSHQARISHNI TAKOMILLASHTIRISH YO‘LLARI

J. Y. Isakov
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J. Y. Isakov: Tashkent State University of Economics

GREEN ECONOMY AND DEVELOPMENT, 2023, vol. 1, issue 10, 400-404

Abstract: O‘zbekiston tijorat banklari aktivlarining tarkibida kreditlar eng yuqori salmoqni egallaganligi sababli banklarning likvidliligi va moliyaviy barqarorligini ta’minlash bevosita kredit portfelini sifatiga bog‘liq. O‘z navbatida, banklar kredit portfelining sifatini yaxshilash kredit riskini boshqarish amaliyotini takomillashtirish zaruriyatini yuzaga keltiradi. Maqolada tijorat banklari faoliyatidagi kredit riskini boshqarish amaliyotini takomillashtirish bilan bog‘liq bo‘lgan dolzarb muammolar aniqlangan va ularni hal qilishga qaratilgan ilmiy takliflar ishlab chiqilgan.

Keywords: tijorat banki; kredit; kredit portfeli; kredit riski; zaxira; foiz stavkasi; foizli daromad; inflyatsiya; asosiy stavka; devalvatsiya (search for similar items in EconPapers)
Date: 2023
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Persistent link: https://EconPapers.repec.org/RePEc:teu:ged000:v:1:y:2023:i:10:id:77

DOI: 10.55439/GED/vol1_iss10/a77

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