RISKS OF A COMMERCIAL BANK AND ITS MANAGEMENT METHODS

Authors

  • Egamova Mahfurat Esanovna Associate Professor of the Department of Banking at Tashkent State University of Economics

Keywords:

Risk, management, classification, banking, systematization, attribute, group.

Abstract

Banking risk management is related to how a credit institution determines the risks it faces. Consistent optimal management and further classification of banking risks is very important for risk management, as ambiguity can lead to confusing reporting and management of banking risks. This article examines and studies different sources of the concept of "banking risk" and their classification, as well as methods of banking risk management. When considering banking risks, we have developed a specific classification based on various criteria.

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Published

2025-02-11

Issue

Section

Articles

How to Cite

RISKS OF A COMMERCIAL BANK AND ITS MANAGEMENT METHODS. (2025). European Journal of Economics, Finance and Business Development, 3(2), 8-14. https://europeanscience.org/index.php/2/article/view/1192