Risk management in commercial banks, methodological approaches and practical implementation

Baymuratova , Zina, Jarilkapova , Naubaxar

Яшил иқтисодиёт ва тараққиёт · 2025-yil

Annotatsiya

This article examines the risk management practices employed by commercial banks, focusing on both themethodological frameworks and their practical application. As financial institutions face increasingly complex anddiverse risks including credit, market, operational, and liquidity risks effective risk management becomes critical toensuring financial stability and regulatory compliance. This study reviews theoretical models, regulatory standards, andcontemporary tools used by banks to identify, assess, and mitigate risks. It also explores case studies of successfulrisk management implementation and highlights challenges such as technological disruptions and evolving regulatorylandscapes. The findings emphasize the importance of integrated, adaptive risk management systems that align withstrategic objectives and foster resilience in volatile markets

Maqola ma’lumotlari
MualliflarBaymuratova , Zina, Jarilkapova , Naubaxar
JurnalЯшил иқтисодиёт ва тараққиёт
Nashr sanasi2025-05-01
Jild3
Son5
TilIngliz
DOI10.5281/zenodo.15528722

Kalit so‘zlar

risk management, commercial banks, credit risk, operational risk, regulatory compliance, financial stability, risk mitigation.

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