BANK TIZIMIDA KREDIT RISKLARINI KAMAYTIRISHNING ZAMONAVIY USULLARI VA ULARNING SAMARADORLIGI

BANK TIZIMIDA KREDIT RISKLARINI KAMAYTIRISHNING ZAMONAVIY USULLARI VA ULARNING SAMARADORLIGI

Авторы

  • Olimjon Abdusalamov

DOI:

https://doi.org/10.5281/zenodo.17744718

Ключевые слова:

kredit riski, scoring-modellar, sun’iy intellekt, real vaqt monitoringi, garov likvidligi, Basel standartlari, raqamli moliya, bank barqarorligi, diversifikatsiya

Аннотация

Maqolada bank tizimida kredit risklarini kamaytirishning zamonaviy yondashuvlari ilmiy asosda tahlil qilinadi.
Scoring-modellar, sun’iy intellekt algoritmlari, real vaqt monitoringi, portfelni diversifikatsiyalash, garov likvidligini baholash
va Basel standartlariga asoslangan risk boshqaruvi kabi mexanizmlarning samaradorligi ko‘rib chiqiladi. Raqamli moliya
infratuzilmasining kengayishi kreditga layoqatni baholash jarayonini takomillashtirayotgani hamda banklarning barqaror
faoliyat ko‘rsatishida strategik ahamiyat kasb etayotgani asoslab beriladi. Tadqiqot natijalari kredit risklarini kamaytirish
bo‘yicha raqamli, analitik va institutsional yondashuvlarning uyg‘unlashuvi bank sektorining umumiy barqarorligini
mustahkamlashini ko‘rsatadi

Биография автора

Olimjon Abdusalamov

TDIU mustaqil tadqiqotchisi

Библиографические ссылки

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3. Basel Committee on Banking Supervision. Basel III: A Global Regulatory Framework for More Resilient Banks and

Banking Systems. – Basel: BIS, 2011. – 78 p.

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5. Saunders A., Allen L. Credit Risk Management: In and Out of the Financial Crisis. – New York: Wiley, 2010. – 392 p.

6. Altman E., Hotchkiss E., Wang W. Corporate Financial Distress, Restructuring, and Bankruptcy. – New York: Wiley,

2020. – 368 p.

7. Crouhy M., Galai D., Mark R. The Essentials of Risk Management. – New York: McGraw-Hill, 2014. – 480 p.

8. Resti A., Sironi A. Risk Management and Shareholders’ Value in Banking. – New York: Wiley, 2007. – 664 p.

Загрузки

Опубликован

2025-03-11
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