TIJORAT BANKLARIDA MOLIYAVIY HISOBOTLAR VA DAVLAT STANDARTLARI ASOSIDA LIKVIDLIK RISKLARINI BOSHQARISH MEXANIZMLARI
Rozimurod Quvondiqov and
Azizbek Toshimov
GREEN ECONOMY AND DEVELOPMENT, 2026, vol. 4
Abstract:
Ushbu maqolada tijorat banklarida likvidlik risklarini boshqarish mexanizmlari, moliyaviy hisobotlarnitayyorlash va davlat standartlarining tatbiq etilishining nazariy hamda amaliy masalalariga alohida e’tibor qaratilgan.Tadqiqot banklarda likvidlik boshqaruvining sharoit tahlili, xalqaro risklar va O‘zbekiston qonunchiligi sharoitidagiregulyatsiyalar asosida amalga oshirildi. Mazkur ishda Hamkorbank ATBda likvidlik pozitsiyasining tahlili, balans vamoliyaviy xavflarni boshqarish samaradorligi baholandi. Natijalar shuni ko‘rsatdiki, zamonaviy likvidlik boshqaruvidaxalqaro mezonlar va raqamli monitoringni qo‘llash banklarda moliyaviy xavfsizlik hamda barqarorlikni ta’minlashda muhimrol o‘ynaydi.
Keywords: likvidlik riski; moliyaviy hisobot; davlat standartlari; bank boshqaruvi; xalqaro standartlar; aktivlar va passivlar; moliyaviy risklar (search for similar items in EconPapers)
Date: 2026
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Persistent link: https://EconPapers.repec.org/RePEc:teu:ged000:v:4:y:2026:id:10665
DOI: 10.5281/zenodo.20373436
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