logo
calendar13 Fevral 2025
view61
Main language:Uzbek

ABOUT BANK RISKS

Field of Science:
pdf

67ad8288be648.pdf

PDF

ARTICLE ANNOTATION

quote
The article discusses the risks faced by commercial banks in their daily activities, which can negatively affect the financial condition and stability of banks. Banks face several types of risks in their activities. For this purpose, financial, operational, strategic, reputational, legal, international, natural disaster and environmental risks, medical and health, security, cost, technological risks are studied, and the requirements developed by the Basel Committee for studying the risks of banks are also studied.

AUTHORS

D.Murodova

Toshkent Davlat iqtisodiyot universiteti

Tags

# competition# raqobat# конкуренция# риск# risk# danger# xavf# kredit riski# кредитный риск# риск дефолта# риск ликвидности# credit risk# liquidity risk# inflyatsiya.# инфляция.# опасность# Bazel# xatar# foyda olmaslik riski# likvidlik riski# foiz riski# to‘lay olmaslik riski# bozor riski# Базель# риск неполучения прибыли# процентный риск# рыночный риск# Basel# hazard# risk of not receiving profit# interest rate risk# risk of default# market risk# inflation.

OTHER ARTICLES IN THIS JOURNAL

Rate Article

0
0 ratings
5
4
3
2
1

Article Identifiers

References

Abdullaeva Sh.Z. (2002) «Bank risklari va kreditlash», «Moliya» nashriyoti, 85-bet.

Farmon (2020) Oʻzbekiston Respublikasi Prezidentining 2020 yil 12 maydagi PF-5992-sonli “Oʻzbekiston Respublikasining bank tizimini isloh qilish strategiyasi”gi farmoni//Qonun hujjatlari ma'lumotlari milliy bazasi, 13.05.2020 y., 06/20/5992/0581-son.

George A. Akerlof va Paul M. Romer (1993)"Looting: The Economic Underworld of Bankruptcy for Profit".

John Maynard Keynes (1936) "The General Theory of Employment, Interest, and Money".

Merton H. Miller, Franco Modigliani (1958) "Miller-Modigliani teoremasi".

Nayt F. (1994) Ponyatie riska i neopredelennosti // THESIS, vip. 5.

Robert C. Merton (1977) "On the Pricing of Corporate Debt: The Risk Structure of Interest Rates" (1974), "Continuous-Time Finance" (1990).

Rouz P.S. (1995) Bankovskiy menedjment. – M.: Delo LTD., str.142

Samuelson, Paul A. (May 1939). "Interactions between the Multiplier Analysis and the Principle of Acceleration". The Review of Economics and Statistics. 21 (2): 75–78.

Sokolov Yu.A., Amosova N.A. (2003) «Sistema straxovaniya bankovskix riskov» Moskva, 6 bet

Tepman L.N. (2002) Professor V.A.Shvandarning redaksiyasi ostida, «Riski v ekonomike» Moskva, 8-bet.