This article analyzes the investment portfolio management system of commercial banks in Uzbekistan. Currently, the relevance of the topic is driven by the development of financial markets and the increasing demand for investment activities within the banki ng sector. The study examines the investment strategies of commercial banks, methods of risk diversification, liquidity levels, and the structure of asset portfolios. Additionally, the article presents recommendations for improving the efficiency of invest ment portfolios and proposes modern management approaches for banks.
| Mualliflar | Madrimov Shuhrat Bahodir oʻgʻli, “Asakabank” AJ Investitsiyalar boshqarmasi boshligʻi |
|---|---|
| Jurnal | Marketing |
| Nashr sanasi | 2025-10-31 |
| Son | 10 |
| Til | O‘zbek |
| DOI | 10.67668/mj/2025iss10/29 |
DOI: 10.67668/mj/2025iss10/29 · Maqolaning asl sahifasi
investment portfolio, securities, ESG investments, capital market, global financial market, risk management system, liquid assets, инвестиционный портфель, ценные бумаги, ESG инвестиции, рынок капитала, глобальный финансовый рынок, система управления рисками, ликвидные активы, investitsion portfel, qimmatli qogʻozlar, ESG investitsiyalar, kapital bozori, global moliya bozori, risklarni boshqarish tizimi, likvidli aktivlar
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