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Bank sohasida “Risklarni boshqarish” tushunchasining nazariy asoslari va uning xizmatlar samaradorligiga ta’siri

Jasurbek Saidov

GREEN ECONOMY AND DEVELOPMENT, 2024, vol. 2, issue 9

Abstract: Ushbu maqola xorijiy va mahalliy olimlarning bank risklarini boshqarish masalalarini o‘rganishga bag‘ishlangan.Bu muammoning o‘tkir zarurati va dolzarbligini ko‘rsatadi. Bu esa bank sohasidagi muammoli ilmiy tendensiyalarko‘plab sabablarga ko‘ra bank risklarini boshqarishning konseptual tamoyillarining kompleks tizimli tadqiq qilinmaganligibilan tasdiqlanadi. Muallif tomonidan bank risklarni samarali baholash uchun turli yondashuvlari bo‘yicha taklif va tavsiyalarishlab chiqilgan.

Keywords: bank; risklarni boshqarish; baholash; model. (search for similar items in EconPapers)
Date: 2024
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