Kredit portfeli risklarini diversifikatsiya qilish strategiyalari
Sherzod Hamroyev
GREEN ECONOMY AND DEVELOPMENT, 2025, vol. 3, issue 5
Abstract:
Mazkur maqolada tijorat banklari faoliyatida kredit portfeli risklarini diversifikatsiya qilish strategiyalari tahlilqilinadi. Kredit portfeli tarkibini sektorlar, mintaqalar, valyutalar va qarzdor segmentlari bo‘yicha diversifikatsiya qilishorqali moliyaviy barqarorlikni ta’minlash mexanizmlari o‘rganilgan. Shuningdek, rivojlangan davlatlar bank amaliyotidagiilg‘or yondashuvlar tahlil qilinib, ularning O‘zbekiston tajribasi bilan solishtirma bahosi berilgan. Tadqiqot natijalari asosidakredit risklarini kamaytirishga qaratilgan tavsiyalar ishlab chiqilgan.
Keywords: kredit risklari; portfel diversifikatsiyasi; sektorlararo taqsimot; tijorat banklari; kredit strategiyasi; 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:5:id:5777
DOI: 10.5281/zenodo.15654442
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