BANK AKTIVLARI SIFATINI YAXSHILASHNING XORIJ TAJRIBASI
DOI:
https://doi.org/10.5281/zenodo.14722712Keywords:
bank aktivlari, xorijiy tajriba, risklarni boshqarish, diversifikatsiya, shaffoflik, texnologik innovatsiyalar, muammoli kreditlar.Abstract
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.
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