BANK KAPITALI YETARLILIGI VA RISKLARNI BOSHQARISH TIZIMINING SAMARADORLIGINI OSHIRISH MEXANIZMLARI
Olimjon Abdusalamov
GREEN ECONOMY AND DEVELOPMENT, 2025, vol. 3, issue 11
Abstract:
Maqolada bank kapitali yetarliligi va risklarni boshqarish tizimining samaradorligini oshirishga doir nazariyva amaliy jihatlar tahlil qilinadi. Tadqiqot bank kapitali tarkibi, Basel standartlari talablarining joriy etilishi, aktivlar sifati varisk ko‘rsatkichlarining o‘zaro bog‘liqligi hamda kapital buferlarining rolini chuqur yoritadi. Bank sektorida kredit, bozor vaoperatsion risklarni kamaytirish mexanizmlari, stress-testlar, raqamli risk-analitika va diversifikatsiya strategiyalariningahamiyati ilmiy asosda bayon qilinadi. Olingan natijalar kapital yetarliligini ta’minlash moliyaviy barqarorlikning asosiyomili ekanini ko‘rsatadi.
Keywords: bank kapitali; kapital yetarliligi; Basel III; risklarni boshqarish; kredit riski; bozor riski; operatsion risk; kapitallashuv; bank barqarorligi (search for similar items in EconPapers)
Date: 2025
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Persistent link: https://EconPapers.repec.org/RePEc:teu:ged000:v:3:y:2025:i:11:id:8033
DOI: 10.5281/zenodo.17744685
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