FOIZ RISKINI BAHOLASH USULLARI METHODS OF ASSESSING INTEREST RATE RISK

Authors

  • Teshaboyev Jamshidbek Qudratillayevich Author
  • Islomov Shoyatbek Xomidjon o‘g‘li Author

Keywords:

Kalit so‘zlar: foiz riski, banklar, moliya instituti, riskni baholash, moliyaviy barqarorlik, duration usuli, GAP tahlili, ssenariy tahlili, stress-test

Abstract

Annotatsiya:  Ushbu  maqola  banklar  va  moliya  institutlarining  foiz  riskini 
baholash  usullari,  ularning  ahamiyati  hamda  amaliyotdagi  qo‘llanilishi  haqida  so‘z 
yuritadi. Foiz riskini samarali boshqarish moliyaviy barqarorlikni ta’minlashda muhim 
rol o‘ynaydi. 

References

FOYDALANILGAN ADABIYOTLAR RO‘YXATI

1. Xodjayev B. A., Shamsiev M. Sh., To‘laganova M. Sh. “Bank ishi”, darslik.

Toshkent, “IQTISOD-MOLIYA” nashriyoti, 2021.

2. kramov B. A. “Bank marketingi va risklarni boshqarish”, Toshkent, 2020.

3. Hull, J. C. Options, Futures, and Other Derivatives. 10th Edition. Pearson

Education, 2022.

4. Saunders, A. & Cornett, M. M. Financial Institutions Management: A Risk

Management Approach. 10th Edition. McGraw-Hill, 2020.

5. Bessis, J. Risk Management in Banking. 5th Edition. Wiley, 2019.

Published

2025-06-21

How to Cite

Teshaboyev Jamshidbek Qudratillayevich, & Islomov Shoyatbek Xomidjon o‘g‘li. (2025). FOIZ RISKINI BAHOLASH USULLARI METHODS OF ASSESSING INTEREST RATE RISK . TADQIQOTLAR, 64(4), 140-142. https://scientific-jl.com/tad/article/view/22366