Eurasian Journal of Law, Finance and Applied Sciences 5-jild 4-son (2025) · 66–73-betlar

IMPROVEMENT OF THE LEGAL FRAMEWORK FOR RISK MANAGEMENT IN COMMERCIAL BANKS IN THE REPUBLIC OF UZBEKISTAN

Бўтабоев, Меҳриддин, Эшматов, Масрур

DOI: 10.5281/zenodo.15241245 · Manbada o'qish → · PDF (manba serverida)

Annotatsiya

As a result of targeted measures developed in recent years to manage the risks of banks in our republic, banks have become able to provide safe long-term lending and investment to business entities. At the same time, the risk management methodology of commercial banks in the republic is leading to the emergence of problem loans, and banks are not developing specific corporate risk management methodologies. This situation requires a review and methodological improvement of the methods of managing risks associated with asset operations of Uzbek commercial banks.

Commercial banks, asset operations, risk types, asset operations risk management, bank risk norms.Тижорат банклари, актив операциялар, риск турлари, актив операциялар рискларини бошқариш, банк рисклари меъёрлари.

Metadata manbasi: jurnal OAI-PMH arxivi · Sindex to'liq matnni saqlamaydi, manbaga havola beradi.