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BANKLARNING INVESTITSIYA RISKLARI VA ULARNI KAMAYTIRISH YO‘LLARI

Erkin Yuldashev

GREEN ECONOMY AND DEVELOPMENT, 2025, vol. 3, issue 12

Abstract: Ushbu maqolada banklarning investitsiya risklari, ularning turlari hamda ularni kamaytirishning samaraliyo‘llari atroflicha tahlil qilingan. Tadqiqotda O‘zbekiston bank tizimining so‘nggi yillardagi islohotlari, risklarni boshqarishbo‘yicha xalqaro tajribalar, Basel III tamoyillari va sun’iy intellekt asosidagi yondashuvlarning ahamiyati yoritilgan. Mualliftomonidan kredit, bozor va likvidlik risklarini kamaytirish mexanizmlari, shuningdek, raqamli texnologiyalar yordamidabanklarning investitsion barqarorligini oshirish imkoniyatlari tahlil qilinadi. Natijalar shuni ko‘rsatadiki, risklarni samaraliboshqarish banklarning moliyaviy barqarorligini mustahkamlaydi va iqtisodiyotning investitsion salohiyatini kengaytiradi

Keywords: bank tizimi; investitsiya risklari; risklarni boshqarish; Basel III; kapital yetarliligi; likvidlik; sun’iy intellekt; moliyaviy barqarorlik (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:8325

DOI: 10.5281/zenodo.17998282

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