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TIJORAT BANKLARI AKTIVLARINI DIVERSIFIKATSIYALASHNING NAZARIY ASOSLARI

Shaxlo Ro‘ziyeva

GREEN ECONOMY AND DEVELOPMENT, 2025, vol. 3, issue 10

Abstract: Mazkur maqolada tijorat banklari aktivlarini diversifikatsiyalashning nazariy asoslari va amaliy ahamiyatiyoritilgan. Bank aktivlarining tarkibini optimallashtirish, risklarni kamaytirish hamda moliyaviy barqarorlikni ta’minlashdadiversifikatsiya siyosatining o‘rni tahlil qilingan. O‘zbekiston tijorat banklari misolida aktivlarni turli yo‘nalishlar bo‘yichataqsimlash, risk darajasini pasaytirish va foydalilikni oshirishga qaratilgan taklif va tavsiyalar ishlab chiqilgan. Tadqiqotnatijalari tijorat banklarining aktivlarni boshqarish siyosatini takomillashtirish hamda ularning raqobatbardoshliginikuchaytirishga xizmat qiladi.

Keywords: tijorat banklari; aktivlar; diversifikatsiya; risklarni boshqarish; moliyaviy barqarorlik; rentabellik; aktivlar sifati (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:10:id:7288

DOI: 10.5281/zenodo.17414838

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