Kreditlashda risklarni boshqarish usullaridan foydalanish
DOI:
https://doi.org/10.55439/GED/vol1_iss11-12/a187Abstract
Maqolada xorijiy banklar amaliyotida risklarni baholash va boshqarishda keng qo‘llaniladigan VaR (Value
at risk) – risk ostidagi qiymat usulining mohiyati, ahamiyati va mamlakatimiz banklari faoliyatida uni qo‘llash imkoniyati
to‘g‘risida fikr yuritilgan.
Keywords
bank, kredit, risk, bank riski, qiymat, zarar, defolt, foiz, usul, boshqarish, riskni baholash, riskni boshqarish.
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Published
2023-12-05
How to Cite
Abdullayeva, S., & Abdullayeva, N. (2023). Kreditlashda risklarni boshqarish usullaridan foydalanish. GREEN ECONOMY AND DEVELOPMENT, 1(11). https://doi.org/10.55439/GED/vol1_iss11-12/a187
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