Iqtisodiyotni modernizatsiyalash jarayonida bank tizimi islohotlari va ularni boshqarish strategiyalari

Iqtisodiyotni modernizatsiyalash jarayonida bank tizimi islohotlari va ularni boshqarish strategiyalari

##article.authors##

  • Hamroyev Xurshid Jalilovich

##plugins.pubIds.doi.readerDisplayName##:

https://doi.org/10.5281/zenodo.16902096

##article.subject##:

bank tizimi, islohotlar, boshqaruv strategiyalari, iqtisodiy modernizatsiya, moliyaviy inklyuziya, raqamli texnologiyalar, risk-menejment.

##article.abstract##

Iqtisodiyotni modernizatsiyalash sharoitida bank tizimini isloh qilish va boshqaruv strategiyalarini
takomillashtirish moliya sektorining barqarorligi, raqobatbardoshligi va samaradorligini oshirishda muhim omil
hisoblanadi. Maqolada milliy va xalqaro tajribalar asosida bank sektoridagi islohotlarning asosiy yo‘nalishlari, boshqaruv
mexanizmlarining takomillashuvi hamda ularning iqtisodiy o‘sishga ta’siri tahlil qilinadi. Raqamli texnologiyalarni joriy
etish, moliyaviy inklyuziyani kengaytirish va risklarni boshqarishning zamonaviy yondashuvlari orqali bank tizimining
modernizatsiya jarayonidagi o‘rni ochib beriladi.

Биография автора

Hamroyev Xurshid Jalilovich

BDTU mustaqil izlanuvchisi

Библиографические ссылки

1. Mishkin F.S. The Economics of Money, Banking, and Financial Markets. – Boston: Pearson, 2019. – 736 p.

2. Kolpakov V.I. Стратегический менеджмент в банковской сфере. – М.: Дело, 2016. – 412 с.

3. G‘ulomov A.I. Bank tizimini isloh qilishning ustuvor yo‘nalishlari. – T.: Iqtisodiyot, 2021. – 284 b.

4. Honohan P., Beck T. Making Finance Work for Africa. – Washington D.C.: World Bank, 2007. – 252 p.

5. Demirgüç-Kunt A., Levine R. Finance and Economic Growth: Theory and Evidence. – Cambridge: Cambridge University

Press, 2018. – 530 p.

6. Hull J.C. Risk Management and Financial Institutions. – Hoboken: Wiley, 2022. – 832 p.

7. Saunders M., Cornett M.M. Financial Institutions Management: A Risk Management Approach. – New York: McGraw-

Hill, 2018. – 832 p.

8. Basel Committee on Banking Supervision. Basel III: Finalising Post-Crisis Reforms. – Basel: BIS, 2017. – 92 p.

9. Fabozzi F.J., Modigliani F. Capital Markets: Institutions and Instruments. – Boston: Pearson, 2014. – 648 p.

10. Stiglitz J., Weiss A. Credit Rationing in Markets with Imperfect Information. – American Economic Review, 1981. –

71(3), pp. 393–410.

11. Merton R.C. A Functional Perspective of Financial Intermediation. – Financial Management, 1995. – 24(2), pp. 23–41.

12. Laeven L., Levine R. Bank Governance, Regulation and Risk Taking. – Journal of Financial Economics, 2009. – 93(2),

pp. 259–275.

13. European Central Bank. Banking Sector Developments and Reform Priorities in the Euro Area. – Frankfurt am Main:

ECB, 2020. – 87 p.

14. https://cbu.uz/uz/statistics/bankstats/2642239

Загрузки

##submissions.published##

2025-08-01
Loading...