Assessment of Commercial Bank's Activities Using Risk Management Methods

dc.creatorAbduvakhobov, Shakhzod
dc.creatorBektemirov, Abdumalik
dc.date2022-03-12
dc.date.accessioned2023-08-21T07:36:21Z
dc.date.available2023-08-21T07:36:21Z
dc.descriptionThis article is devoted to the areas of assessment of the activities of commercial banks using risk management methods associated with the lending process. It provides an analysis of the views of economists, in which conclusions and recommendations for the analysis of the situation on the application of risk management methods are formed.en-US
dc.formatapplication/pdf
dc.identifierhttps://openaccessjournals.eu/index.php/jedic/article/view/1121
dc.identifier.urihttp://dspace.umsida.ac.id/handle/123456789/12491
dc.languageeng
dc.publisherOpen Access Journals Incorporationsen-US
dc.relationhttps://openaccessjournals.eu/index.php/jedic/article/view/1121/1066
dc.rightsCopyright (c) 2022 Journal of Ethics and Diversity in International Communicationen-US
dc.sourceJournal of Ethics and Diversity in International Communication; Vol. 2 No. 3 (2022): Journal of Ethics and Diversity in International Communication; 96-101en-US
dc.source2792-4017
dc.subjectcommercial banken-US
dc.subjectrisk managementen-US
dc.subjectcredit risken-US
dc.subjectloan portfolioen-US
dc.subjectmethoden-US
dc.titleAssessment of Commercial Bank's Activities Using Risk Management Methodsen-US
dc.typeinfo:eu-repo/semantics/article
dc.typeinfo:eu-repo/semantics/publishedVersion
dc.typePeer-reviewed Articleen-US
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