TIJORAT BANKLARIDA INVESTITSIYA LOYIHALARINI MOLIYALASHTIRISHDA RISKLARNI BOSHQARISH MASALALARI

TIJORAT BANKLARIDA INVESTITSIYA LOYIHALARINI MOLIYALASHTIRISHDA RISKLARNI BOSHQARISH MASALALARI

Authors

  • Nasiba Abdurazakova

DOI:

https://doi.org/10.5281/zenodo.18266888

Keywords:

tijorat banklari, investitsiya loyihalari, risklarni boshqarish, kredit riski, bozor riski, bank investitsiya faoliyati

Abstract

Mazkur maqolada tijorat banklarida investitsiya loyihalarini moliyalashtirish jarayonida yuzaga keladigan
risklarni boshqarish masalalari chuqur tahlil etilgan. Investitsiya loyihalarining uzoq muddatli va yuqori risk darajasiga
egaligi banklar faoliyatida risklarni samarali boshqarishni talab etadi. Tadqiqot davomida investitsiya loyihalarini
moliyalashtirishda uchraydigan asosiy risk turlari, jumladan kredit, bozor, likvidlik, foiz stavkasi, huquqiy va operatsion
risklarning mohiyati hamda ularning bank faoliyatiga ta’siri o‘rganildi.
Maqolada tijorat banklarida risklarni boshqarishning amaldagi holati tahlil qilinib, risklarni aniqlash, baholash va kamaytirish
mexanizmlarining o‘ziga xos jihatlari yoritilgan. Shuningdek, investitsiya loyihalarini moliyalashtirishda risklarni boshqarish
jarayonini takomillashtirishga qaratilgan ilmiy-amaliy taklif va tavsiyalar ishlab chiqildi. Tadqiqot natijalari banklarning
investitsiya faoliyatini samarali tashkil etish, muammoli kreditlar ulushini kamaytirish hamda bank tizimining moliyaviy
barqarorligini mustahkamlashda amaliy ahamiyatga ega

Author Biography

Nasiba Abdurazakova

Toshkent amaliy fanlar universiteti
«Bank va moliya» kafedrasi katta oʻqituvchisi


References

1. Gatti S. Project Finance in Theory and Practice. – Academic Press, 2018.

2. Saunders A., Allen L. Credit Risk Management. – Wiley, 2010.

3. Yescombe E.R. Principles of Project Finance. – Academic Press, 2017.

4. Mishkin F.S. The Economics of Money, Banking and Financial Markets. – Pearson, 2019.

5. Hull J.C. Risk Management and Financial Institutions. – Wiley, 2018.

6. Basel Committee on Banking Supervision. Principles for the Management of Credit Risk. – BIS, 2019.

7. IMF. Financial Sector Stability and Risk Management. – Washington DC, 2020.

8. World Bank. Managing Risks in Investment Project Financing. – Washington DC, 2021.

9. OECD. Bank Risk Management Practices. – Paris, 2019.

10. Asian Development Bank. Investment Project Risk Mitigation. – Manila, 2020.

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Published

2026-01-01

How to Cite

Abdurazakova , N. (2026). TIJORAT BANKLARIDA INVESTITSIYA LOYIHALARINI MOLIYALASHTIRISHDA RISKLARNI BOSHQARISH MASALALARI. GREEN ECONOMY AND DEVELOPMENT, 4(1). https://doi.org/10.5281/zenodo.18266888
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