TIJORAT BANKLARDA OPERATSION RISKLARNI BOSHKARISHNING NAZARIY ASOSLARI

TIJORAT BANKLARDA OPERATSION RISKLARNI BOSHKARISHNING NAZARIY ASOSLARI

Authors

  • Shoazam Nishanov

DOI:

https://doi.org/10.5281/zenodo.18155047

Keywords:

tijorat banklari, operatsion risklar, risklarni boshqarish, bank barqarorligi, ichki nazorat, risk menejment.

Abstract

Mazkur maqolada tijorat banklarida operatsion risklarni boshqarishning nazariy asoslari tadqiq etilgan.
Operatsion risklarning iqtisodiy mohiyati, ularning yuzaga kelish manbalari hamda bank faoliyatiga ta’sir etuvchi omillar
tizimli yondashuv asosida tahlil qilingan. Tadqiqot jarayonida operatsion risklarni aniqlash, baholash, monitoring qilish
va kamaytirish mexanizmlarining nazariy jihatlari ochib berilgan. Shuningdek, bank tizimida operatsion risklarni samarali
boshqarish moliyaviy barqarorlikni ta’minlash, yo‘qotishlarni minimallashtirish hamda boshqaruv sifatini oshirishning
muhim omili ekanligi asoslab berilgan. Maqola xulosalarida tijorat banklarida operatsion risklarni boshqarish tizimini
takomillashtirish bo‘yicha ilmiy-amaliy takliflar ilgari surilgan.

Author Biography

Shoazam Nishanov

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

References

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Published

2025-12-01

How to Cite

Nishanov , S. (2025). TIJORAT BANKLARDA OPERATSION RISKLARNI BOSHKARISHNING NAZARIY ASOSLARI. GREEN ECONOMY AND DEVELOPMENT, 3(12). https://doi.org/10.5281/zenodo.18155047
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