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Tijorat banklarida foiz risklarini baholash va boshqarish

Mardon Karimov

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

Abstract: Maqolada tijorat banklarida foiz risklarini baholash va boshqarishning nazariy va amaliy jihatlari o‘rganiladi.Xususan, foiz risklarini aniqlash va baholashning zamonaviy usullari orqali tahlil qilinib, foiz risklarini boshqarishjarayonlarini takomillashtirish bo‘yicha amaliy tavsiyalar ishlab chiqiladi. Maqolaning asosiy maqsadi – tijorat banklaridafoiz risklarini boshqarish bilan bog‘liq muammolarga yechim topish, foiz risklarini minimallashtirish hamda foizrisklarini boshqarish jarayonlarini takomillashtirish orqali tijorat banklarining foydadorligi hamda moliyaviy barqarorliginitaʼminlashga qaratilgan.

Keywords: Risk; bozor riski; foiz riski; riskni baholash va boshqarish; rentabillik; foyda; foiz; foiz stavkalari; foiz risklari mоnitоringi. (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:3:id:4714

DOI: 10.5281/zenodo.15152140

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