SUG‘URTA KOMPANIYALARINING MOLIYAVIY RISKLARINI BAHOLASHNING ZAMONAVIY METODOLOGIK YONDASHUVLARI VA XALQARO STANDARTLARI
Jasur Nosirov
GREEN ECONOMY AND DEVELOPMENT, 2025, vol. 3, issue 12
Abstract:
Mazkur maqolada sug‘urta kompaniyalarining moliyaviy risklarini baholashning zamonaviy metodologikyondashuvlari hamda xalqaro standartlari kompleks tarzda tahlil qilinadi. Tadqiqotda risklarni aniqlash, baholash vaboshqarish jarayonlarida qo‘llaniladigan kvantitativ va sifat usullari, jumladan, stress-test, ssenariy tahlili va aktuariymodellarining ahamiyati yoritilgan. Shuningdek, Solvency II, International Association of Insurance Supervisors tamoyillarihamda riskka asoslangan nazorat tizimlarining sug‘urta kompaniyalari barqarorligini ta’minlashdagi roli ochib berilgan
Keywords: moliyaviy risk; sug‘urta kompaniyasi; risk-menejment; Solvency II; IAIS; stress-test; ssenariy tahlili; aktuariy modellash; moliyaviy barqarorlik; prudensial nazorat (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:12:id:10871
DOI: 10.5281/zenodo.20631356
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