TIJORAT BANKLARIDA GAROV PORTFELI BOSHQARUVINI TAKOMILLASHTIRISHNING ASOSIY YO‘LLARI VA ISTIQBOLLARI

TIJORAT BANKLARIDA GAROV PORTFELI BOSHQARUVINI TAKOMILLASHTIRISHNING ASOSIY YO‘LLARI VA ISTIQBOLLARI

Mualliflar

  • Nayimov Shohruh Toshkent Kimyo xalqaro universiteti mustaqil izlanuvchisi

##semicolon##

tijorat banklari, garov portfeli, risklarni boshqarish, regulyatorlik, texnologik innovatsiyalar, moliyaviy barqarorlik.

Abstrak

Mazkur maqolada tijorat banklarida garov portfelini boshqarish mexanizmlari o‘rganilib, ularning samaradorligini oshirish yo‘llari tahlil qilinadi. Tadqiqot garovlarni baholash, risklarni boshqarish va yangi texnologiyalarni joriy etishdagi mavjud muammolarni ko‘rsatib, garov portfeli boshqaruvini takomillashtirish uchun zamonaviy metodologiyalar, regulyatorlik talablarini kuchaytirish va innovatsiyalarni joriy etish zarurligini ta’kidlaydi.

##submission.citations##

Black, F., & Scholes, M. (1973). The pricing of options and corporate liabilities. Journal of Political Economy, 81(3), 637-654.

Brealey, R. A., & Myers, S. C. (2003). Principles of Corporate Finance. McGraw-Hill.

Hancock, D. (1998). The role of risk management in the banking industry. Journal of Risk and Insurance, 45(1), 22-39.

Jorion, P. (2007). Financial Risk Management: Models, History, and Institutions. Wiley.

Merton, R. C. (1977). An analytical derivation of the efficient portfolio frontier. Journal of Financial and Quantitative Analysis, 12(1), 141-149.

Merton, R. C. (1995). Financial markets and economic performance. Journal of Financial Economics, 38(1), 203-234.

O‘zbekiston Respublikasi Markaziy bankining 2023-yil uchun “Moliyaviy barqarorlik sharhi”.

##submission.downloads##

Nashr qilingan

2025-03-29