TIJORAT BANKLARINING GAROV PORTFELINI SHAKLLANTIRISH VA BOSHQARISH MUAMMOLLARI
DOI:
https://doi.org/10.47390/SP1342V3I6/SY2023N12Kalit so'zlar:
garov portfeli, tijorat banklari, risklarni boshqarish, me'yoriy-huquqiy baza, bozor o'zgaruvchanligi.Annotatsiya
Garov portfeli tijorat banklarining risklarni boshqarish strategiyasining muhim jihati hisoblanadi. Ushbu maqola jahon amaliyoti va me'yoriy-huquqiy baza, bozor o'zgaruvchanligi va texnologik jihatlar kabi o'ziga xos kontekstli cheklovlarni hisobga olgan holda banklar garov portfelini shakllantirish va boshqarishda duch keladigan muammolarni o'rganadi. Mavjud adabiyotlar va empirik dalillarga asoslanib, ushbu maqola O'zbekistondagi bank sohasiga moslashtirilgan tavsiyalarni taqdim etadi.
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