BANKLARNING INVESTITSIYA RISKLARI VA ULARNI KAMAYTIRISH YO‘LLARI

BANKLARNING INVESTITSIYA RISKLARI VA ULARNI KAMAYTIRISH YO‘LLARI

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  • Yuldashev Erkin Xusanovich

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https://doi.org/10.5281/zenodo.17998282

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bank tizimi, investitsiya risklari, risklarni boshqarish, Basel III, kapital yetarliligi, likvidlik, sun’iy intellekt, moliyaviy barqarorlik

##article.abstract##

Ushbu maqolada banklarning investitsiya risklari, ularning turlari hamda ularni kamaytirishning samarali
yo‘llari atroflicha tahlil qilingan. Tadqiqotda O‘zbekiston bank tizimining so‘nggi yillardagi islohotlari, risklarni boshqarish
bo‘yicha xalqaro tajribalar, Basel III tamoyillari va sun’iy intellekt asosidagi yondashuvlarning ahamiyati yoritilgan. Muallif
tomonidan kredit, bozor va likvidlik risklarini kamaytirish mexanizmlari, shuningdek, raqamli texnologiyalar yordamida
banklarning investitsion barqarorligini oshirish imkoniyatlari tahlil qilinadi. Natijalar shuni ko‘rsatadiki, risklarni samarali
boshqarish banklarning moliyaviy barqarorligini mustahkamlaydi va iqtisodiyotning investitsion salohiyatini kengaytiradi

Биография автора

Yuldashev Erkin Xusanovich

Toshkent amaliy fanlar unversiteti
“Bank va moliya” kafedrasi iqtisod fanlari nomzodi, v.v b., dosent


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##submissions.published##

2025-12-01
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