BANK AKTIVLARI SIFATINI YAXSHILASHNING XORIJ TAJRIBASI

Аннотация
Ushbu maqolada bank aktivlari sifatini yaxshilashda xorijiy tajribani o‘rganish va uni milliy moliyaviy tizimga moslashtirish masalalari tahlil qilinadi. Xalqaro amaliyotda qo‘llaniladigan ilg‘or yondashuvlar, jumladan, risklarni boshqarish tizimlarini takomillashtirish, aktivlarni diversifikatsiya qilish, shaffoflikni oshirish va texnologik innovatsiyalarni joriy etish tajribasi o‘rganiladi. Maqolada O‘zbekiston bank sektorida bu tajribalarni tatbiq etish bo‘yicha takliflar berilgan.
Ключевые слова
bank aktivlari, xorijiy tajriba, risklarni boshqarish, diversifikatsiya, shaffoflik, texnologik innovatsiyalar, muammoli kreditlar.
Библиографические ссылки
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- European Central Bank (ECB). (2019). Non-Performing Loans and Bank Stability: A Policy Perspective. URL: https://www.ecb.europa.eu
- OECD. (2022). Enhancing Bank Asset Quality in Developing Countries: Policies and Practices. Organisation for Economic Co-operation and Development. URL: https://www.oecd.org
- O‘zbekiston Respublikasi Markaziy banki. (2024). Moliyaviy barqarorlik bo‘yicha yillik hisobot. Toshkent: O‘zbekiston Respublikasi Markaziy banki nashriyoti.
- Ghosh, A. (2015). Banking Industry and Asset Quality: Insights from Emerging Economies. Springer.