O‘zbekiston Respublikasida tijorat banklari aktivlar sifatini oshirish yo‘llari
Otabek To‘ychiyev
GREEN ECONOMY AND DEVELOPMENT, 2024, vol. 2, issue 2
Abstract:
Ushbu tadqiqot O‘zbekiston tijorat banklaridagi aktivlar sifatini yaxshilash, yuqori muammoli kreditlar vanoadekvat risklarni boshqarish kabi muammolarni hal qilish strategiyalarini o‘rganadi. Adabiyotlarni ko‘rib chiqish vaamaliy tadqiqotlardan foydalangan holda maqolada risklarni boshqarish, tartibga solish islohotlari va portfelni diversifikatsiyaqilish bo‘yicha takliflar berilgan. Natijalar O‘zbekiston bank sektorining moliyaviy barqarorligi va faoliyatini mustahkamlashgaqaratilgan.
Keywords: aktivlar sifati; risklarni boshqarish; tartibga solish islohotlari; bank sektori. (search for similar items in EconPapers)
Date: 2024
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