Илғор иқтисодиёт ва педагогик технологиялар 3-jild 4-son (2026) · 562-567-betlar
ISSUES OF IMPROVING THE MANAGEMENT OF NON-TRADITIONAL RISKS IN THE BANKING SECTOR OF UZBEKISTAN
Karimov, Shamsiddin, Каримов, Шамсиддин, Karimov, Shamsiddin
Annotatsiya
This article analyzes risk management issues in the banking sector of Uzbekistan in terms of traditional and non-traditional risks. The study substantiates the importance of credit, liquidity, and market risks in banking activities, as well as the necessity of their effective management. In addition, the impact of non-traditional risks related to operational, technological, reputational, environmental, and social factors-emerging as a result of the increasing complexity of the economic, technological, and institutional environment in recent years on the stability of banks is examined.
banking sectorrisk managementtraditional and non-traditional riskscredit riskliquidity riskmarket riskoperational risktechnological riskreputational riskenvironmental and social risks
Metadata manbasi: jurnal OAI-PMH arxivi · Sindex toʻliq matnni saqlamaydi, manbaga havola beradi.