STATUS AND ANALYSIS OF RISK DIVERSIFICATION IN COMMERCIAL BANKS

dc.contributor.authorSaidov Ulugbek Abdivalievich
dc.date.accessioned2025-12-30T07:36:51Z
dc.date.issued2025-10-25
dc.description.abstractThe article examines the state and analysis of risk diversification in commercial banks, the main directions of risk diversification in commercial banks at the macroeconomic and microeconomic levels, the possibilities of reducing economic risk associated with risks in banks and preventing financial losses, and the application of the experience of foreign countries in our country.
dc.formatapplication/pdf
dc.identifier.urihttps://europeanscience.org/index.php/2/article/view/1566
dc.identifier.urihttps://asianeducationindex.com/handle/123456789/27303
dc.language.isoeng
dc.publisherEuropean Science Publishing
dc.relationhttps://europeanscience.org/index.php/2/article/view/1566/1487
dc.rightshttps://creativecommons.org/licenses/by-nc/4.0
dc.sourceEuropean Journal of Economics, Finance and Business Development; Vol. 3 No. 10 (2025): EJEFBD; 31-36
dc.source2938-3633
dc.subjectCommercial banks, risks, macro and microeconomic level, monetary policy, bank credit, risk management, risk diversification, bank loan portfolio.
dc.titleSTATUS AND ANALYSIS OF RISK DIVERSIFICATION IN COMMERCIAL BANKS
dc.typeinfo:eu-repo/semantics/article
dc.typeinfo:eu-repo/semantics/publishedVersion
dc.typePeer-reviewed Article

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