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O‘Zbekiston Tijorat Banklarida Risklarni Monitoring Qilish Mеtodologiyasini Takomillashtirishdagi Mavjud Muаmmоlаr Va Ularni Bartaraf Qilish Yo’Llari

Author

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  • Sherzod Hamroyev

Abstract

Mazkur maqolada O‘zbekiston tijorat banklarida risklarni monitoring qilish metodologiyasining amaldagi holati,mavjud muammolari hamda ularni bartaraf etish yo‘llari tahlil qilingan. Bank tizimida kredit, likvidlik, bozor va operatsionrisklarni aniqlash, baholash va monitoring qilish jarayonlarining samaradorligi ko‘rib chiqilgan. Shuningdek, risklarniboshqarish tizimining zamonaviy yondashuvlari, xalqaro tajribalar hamda raqamli texnologiyalar asosida monitoringmetodologiyasini takomillashtirish masalalari yoritilgan. Tadqiqot natijasida tijorat banklarida risklarni monitoring qilishtizimini yanada rivojlantirish, risklarni erta aniqlash va ularni kamaytirishga qaratilgan amaliy taklif va tavsiyalar ishlabchiqilgan

Suggested Citation

  • Sherzod Hamroyev, 2026. "O‘Zbekiston Tijorat Banklarida Risklarni Monitoring Qilish Mеtodologiyasini Takomillashtirishdagi Mavjud Muаmmоlаr Va Ularni Bartaraf Qilish Yo’Llari," GREEN ECONOMY AND DEVELOPMENT, "Ma'rifat-Print-Media" LLC, Tashkent State University of Economics, vol. 4(4), April.
  • Handle: RePEc:teu:ged000:v:4:y:2026:i:4:id:9933
    DOI: 10.5281/zenodo.19504963
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