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

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

##article.authors##

  • Bekzod Madaminov

##semicolon##

https://doi.org/10.5281/zenodo.18554123

##semicolon##

tijorat banklari, moliyaviy barqarorlik, kapitallashuv, likvidlik darajasini oshirish, kreditlash mexanizmi, risk darajasini kamaytirish

##article.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 modelini
shakllantirish tamoyillari bayon etilgan hamda mazkur model doirasida axborot oqimlari nazariy jihatdan talqin qilingan.
Tadqiqot natijalari risklarni samarali boshqarish mexanizmlarini takomillashtirish orqali banklarning barqaror rivojlanishini
ta’minlash imkoniyatlarini asoslab beradi.

##submission.authorBiography##

Bekzod Madaminov

Ma’mun universiteti Magistratura bo‘limi boshlig‘i,
fizika-matematika fanlari bo‘yicha
falsafa doktori (PhD), v.b. professor

##submission.citations##

1. Усоскин В.М. Современный коммерческий банк: управление и операции. – Москва: МКЦ ДИС, 1997. – 464 с.

2. Синки Дж. мл. Управление финансами в коммерческих банках: пер. с англ. 4-го перераб. изд. – М.: Альпина

Паблишер, 1994. – 820 с.

3. Жукова Е.Ф. Банковский менеджмент. – М.: ЮНИТИ-ДАНА, 2006. – 575 с.

4. Кох Т.У. Управление банком: пер. с англ. В 5 т. – Уфа: Спектр, 2003. – Ч. 1. – 112 с.

5. Ларионова И.В. Управление активами и пассивами в коммерческом банке. – М.: Консалтбанкир, 2003. – 272 с.

6. Berdiyarov B.T. Tijorat banklari aktiv operatsiyalarining daromadliligi: Iqtisod fanlari nomzodi ilmiy darajasini olish

uchun yozilgan diss. avtoreferati. – Toshkent: BMA, 2002. – 21 b.

7. Kotov V.A. Organizatsiya rynka tsennykh bumag. – Toshkent: Moliya, 2007. Butikov I.L. Rynok tsennykh bumag

Uzbekistana: problemy formirovaniya i razvitiya. – T.: Konsauditinform Nashr, 2008.

8. Jumayev N.X., Abdurahmonov O.Q. Jahon moliyaviy-iqtisodiy inqirozi: sabablari va uni bartaraf etish muammolari. –

T.: Akademnashr, 2010. – 160 b.

9. Sattorov O.B. Tijorat banklari likvidliligini ta’minlashni takomillashtirish: Iqtisod fanlari nomzodi ilmiy darajasini olish

uchun yozilgan diss. avtoreferati. – Toshkent: BMA, 2008. – 21 b.

10. Tojiyev R.R. Tijorat banklari likvidliligini boshqarishning innovatsion strategiyasi (“Agrobank” OATB misolida): Iqtisod

fanlari nomzodi ilmiy darajasini olish uchun yozilgan dissertatsiya. – T.: TDIU, 2011.

11. Liu, H., & Huang, W. (2022). Sustainable Financing and Financial Risk Management of Financial Institutions: Case

Study on Chinese Banks. Sustainability. https://doi.org/10.3390/su14159786

12. Bhatt, T., Ahmed, N., Iqbal, M., & Ullah, M. (2023). Examining the Determinants of Credit Risk Management and Their

Relationship with the Performance of Commercial Banks in Nepal. Journal of Risk and Financial Management. https://

doi.org/10.3390/jrfm16040235

13. Gutiérrez-López, C., & Abad-González, J. (2020). Sustainability in the Banking Sector: A Predictive Model for the

European Banking Union in the Aftermath of the Financial Crisis. Sustainability. https://doi.org/10.3390/su12062566

14. Oye, D. (2020). Analysis of Impacts of Operational Risk Management Practices on Banks’ Financial Performance:

Study of Selected Commercial Banks in Nigeria. International Journal of Finance & Banking Studies, 9, 22–35. https://

doi.org/10.20525/ijfbs.v9i1.634

15. Kafidipe, A., Uwalomwa, U., Dahunsi, O., & Okeme, F. (2021). Corporate Governance, Risk Management and Financial

Performance of Listed Deposit Money Banks in Nigeria. Cogent Business & Management, 8. https://doi.org/10.1080/

23311975.2021.1888679

16. Nguyen, Q., & Dang, V. (2022). The Impact of Risk Governance Structure on Bank Risk Management Effectiveness:

Evidence from ASEAN Countries. Heliyon, 8. https://doi.org/10.1016/j.heliyon.2022.e11192

17. Ali, M., & Puah, C. (2019). The Internal Determinants of Bank Profitability and Stability. Management Research Review.

https://doi.org/10.1108/mrr-04-2017-0103

##submission.downloads##

##submissions.published##

2026-02-01
Loading...