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Korxonalar daromadiga ta’sir qiluvchi risklarni boshqarish asoslarini takomillashtirish

Oybek Sa’dullayev

GREEN ECONOMY AND DEVELOPMENT, 2024, vol. 2, issue 11

Abstract: Mazkur tadqiqot korxonalar daromadiga ta’sir qiluvchi moliyaviy, bozor va likvidlilik risklarini aniqlash hamdaularni boshqarish usullariga bag‘ishlangan. Moliyaviy risklarning eng muhim turlari, jumladan, kredit riski, pul oqimi riskiva raqobat riski tahlil qilinib, ularning korxona faoliyatiga salbiy ta’siri yoritilgan. Shuningdek, korxonalar uchun risklarniminimallashtirish bo‘yicha sug‘urta, moliyaviy zaxiralarni shakllantirish va ichki nazorat mexanizmlarini rivojlantirishkabi strategik tavsiyalar ishlab chiqilgan. Ushbu tadqiqot natijalari korxonalar daromadini barqaror oshirish va iqtisodiybarqarorlikni ta’minlashda muhim ahamiyatga ega.

Keywords: korxona daromadi; moliyaviy risk; bozor riski; likvidlilik riski; daromad risklari; risklarni boshqarish; strategik tavsiyalar; iqtisodiy barqarorlik; risk tahlili; riskni kamaytirish; raqobat riski; kredit riski; pul oqimi riski. (search for similar items in EconPapers)
Date: 2024
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Persistent link: https://EconPapers.repec.org/RePEc:teu:ged000:v:2:y:2024:i:11:id:3723

DOI: 10.5281/zenodo.14395935

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