STATUS AND ANALYSIS OF RISK DIVERSIFICATION IN COMMERCIAL BANKS

Authors

  • Saidov Ulugbek Abdivalievich PhD, Acting Associate Professor, Employee of “Agrobank” JSCB

Keywords:

Commercial banks, risks, macro and microeconomic level, monetary policy, bank credit, risk management, risk diversification, bank loan portfolio.

Abstract

The 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.

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Published

2025-10-25

Issue

Section

Articles

How to Cite

STATUS AND ANALYSIS OF RISK DIVERSIFICATION IN COMMERCIAL BANKS. (2025). European Journal of Economics, Finance and Business Development, 3(10), 31-36. https://europeanscience.org/index.php/2/article/view/1566