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RISK-MENEJMENT VA MOLIYAVIY BARQARORLIK O‘ZARO BOG‘LIQLIGINING KONSEPTUAL MODELINI SHAKLLANTIRISH TAMOYILLARI

Bekzod Madaminov

GREEN ECONOMY AND DEVELOPMENT, 2026, vol. 4, issue 2

Abstract: Maqolada tijorat banklarining moliyaviy barqarorligini boshqarish bilan bog‘liq dolzarb masalalar yoritilgan.Muallif tomonidan risk-menejment va moliyaviy barqarorlik o‘rtasidagi o‘zaro bog‘liqlikning konseptual modelinishakllantirish tamoyillari bayon etilgan hamda mazkur model doirasida axborot oqimlari nazariy jihatdan talqin qilingan.Tadqiqot natijalari risklarni samarali boshqarish mexanizmlarini takomillashtirish orqali banklarning barqaror rivojlanishinita’minlash imkoniyatlarini asoslab beradi.

Keywords: tijorat banklari; moliyaviy barqarorlik; kapitallashuv; likvidlik darajasini oshirish; kreditlash mexanizmi; risk darajasini kamaytirish (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:i:2:id:9109

DOI: 10.5281/zenodo.18554123

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